Зарегистрироваться
Восстановить пароль
FAQ по входу

Финансовый менеджмент

Пособие. — Интернет-издание. — 36 с. Систематический пошаговый метод обучения, который поможет новичкам в инвестировании обрести твердую почву под ногами в их стремлении изучить процесс управления средствами на фондовом рынке. На примере американских компаний.
  • №1
  • 474,21 КБ
  • добавлен
  • изменен
144 показателя для анализа финансовой отчетности и формулы их расчета в виде таблицы. Пример: Коэффициент срочной ликвидности Сумма остатка денежных средств организации на конкретную дату / сумма обязательств, требующих погашения на эту дату. Коэффициент платежеспособности за год (по данным формы №4) (Остаток денежных средств организации на начало года + общая сумма полученных...
  • №2
  • 33,24 КБ
  • дата добавления неизвестна
  • изменен
Springer, 2015. — 135 p. — (ADB Institute Series on Development Economics). — ISBN: 9784431552536, 9784431552543 Financial authorities face a number of key challenges, including maintaining financial stability; ensuring long-term finance for stable economic growth; promoting greater access to financial services for both households and small and medium-sized enterprises (SMEs);...
  • №3
  • 4,68 МБ
  • добавлен
  • изменен
Palgrave Macmillan, 2017. — 324 p. — ISBN: 9783319335179, 9783319335186 This book investigates how businesses can adapt their executive and fiscal practices to adopt an ethical, equal-opportunity approach. The authors demonstrate how corporations can create sustainable work environments that embrace feminist care ethics and ground their research in a strong theoretical discussion...
  • №4
  • 3,40 МБ
  • добавлен
  • изменен
Wiley, 2018. — 619 p. — ISBN: 978-1-119-49145-3. This book the essential desk reference for CFOs, FP&A professionals, investment banking professionals, and equity research analysts. With thought-provoking discussion and refreshing perspective, this book provides insightful reference for critical areas that directly impact an organization’s effectiveness. From budgeting and...
  • №5
  • 11,48 МБ
  • добавлен
  • изменен
Principles of Corporate Finance is the worldwide leading text that describes the theory and practice of corporate finance. Throughout the book the authors show how managers use financial theory to solve practical problems and as a way of learning how to respond to change by showing not just how but why companies and management act as they do. The text is comprehensive,...
  • №6
  • 14,84 МБ
  • дата добавления неизвестна
  • изменен
2nd edition. — Cambridge, Massachusetts: The MIT Press, 2010. — 490 p. — ISBN: 0262513986, 9780262513982 The microfinance revolution has allowed more than 150 million poor people around the world to receive small loans without collateral, build up assets, and buy insurance. The idea that providing access to reliable and affordable financial services can have powerful economic...
  • №7
  • 1,89 МБ
  • добавлен
  • изменен
5th Edition. — Pearson, 2012. — 1112 p. Explore how finance theory works in practice with Corporate Financial Management, 5th edition. Find out how financial decisions are made within a firm, how projects are appraised to make investment decisions, how to evaluate risk and return, where to raise finance from and how, ultimately, to create value. Introduction The...
  • №8
  • 12,19 МБ
  • добавлен
  • изменен
Pearson Education Ltd. 2014. — 556 p. — ISBN: ISBN: 9781292016061 (print), 9781292016092 (PDF), 9781292016078 (eText) Adopting an innovative, open-learning approach to introduce the main principles of financial management in an accessible, non-technical way, this fully updated seventh edition provides a unique focus on the practical application of financial management and its...
  • №9
  • 14,41 МБ
  • добавлен
  • изменен
Pearson Education Limited, 2011. — 640 p. — 6th ed. — ISBN: 0273756931, 9780273756934 With an innovative, open-learning approach, Atrill's Financial Management for Decision Makers 6e introduces the the main principles of financial management in an accessible, non-technical way. Its unique focus on the practical application of financial management and its role in decision making...
  • №10
  • 4,61 МБ
  • добавлен
  • изменен
Financial Times Management, 2009. - 596 pages. 5th Edition Adopting an innovative, open-learning approach to introduce the main principles of financial management in an accessible, non-technical way, this fully updated fifth edition provides a unique focus on the practical application of financial management and its role in decision making. New to this edition: ·...
  • №11
  • 4,90 МБ
  • добавлен
  • изменен
8th Edition. — Pearson, 2015. — 880 p. — ASIN B0170BQRGW. Accounting and Finance: An Introduction, now in its eighth edition, contains all the information you need to start your business career. With its use of practical techniques and real-world examples, this best-selling text teaches you the basics of understanding and using financial information. This comprehensive guide...
  • №12
  • 12,84 МБ
  • добавлен
  • изменен
8th ed. — Pearson, 2017. — 674 p. — ISBN 129213433X. Financial Management for Decision Makers provides you with an introduction into the world of financial management. Assuming no previous knowledge of financial management, this book gradually builds your knowledge of the subject and how to apply these theories into practice. Now in its eighth edition, Financial Management for...
  • №13
  • 9,56 МБ
  • добавлен
  • изменен
Elsevier, 2009 The focus of this paper is the decision-making process undertaken by management. Managers will optimise performance only if they choose and apply the appropriate management information to the decisions they have to take. The paper considers how to select relevant information and the ways in which it can be used.
  • №14
  • 2,09 МБ
  • добавлен
  • изменен
CRC Press, 2007. — 304 p. — ISBN 9780849374777. Recent global anxiety indicates that more focus needs to be directed at economic issues related to industry. Conventional techniques often do not adequately embrace the integrated global factors that affect unique industries and industry focused computational tools have not been readily available. Until now. Computational Economic...
  • №15
  • 5,39 МБ
  • добавлен
  • изменен
Wiley & Sons – 2010, 223 pages ISBN: 0470562226, 9780470562222 Discover how to use activity-based management to improve your bottom line The first book of its kind to focus on activity-based management in the financial services industry, Activity-Based Management for Financial Institutions: Driving Bottom Line Results will show you how to drive changes to your organization's...
  • №16
  • 1,78 МБ
  • добавлен
  • изменен
Wiley, 2009. — 536 p. — ISBN 978-0470455807. As part of the Robert W. Kolb Series in Finance, Dividends and Dividend Policy aims to be the essential guide to dividends and their impact on shareholder value. Issues concerning dividends and dividend policy have always posed challenges to both academics and professionals. While all the pieces to the dividend puzzle may not be in...
  • №17
  • 4,71 МБ
  • добавлен
  • изменен
Wiley, 2011. — 600 p. — ISBN 978-0470569511. The most up-to-date guide on making the right capital restructuring moves The Art of Capital Restructuring provides a fresh look at the current state of mergers, acquisitions, and corporate restructuring around the world. The dynamic nature of M&As requires an evolving understanding of the field, and this book considers several...
  • №18
  • 4,84 МБ
  • добавлен
  • изменен
Wiley-Blackwell, 2005. — 504 c. — ISBN: 0631231005, 9780631231004 Understanding Financial Management is designed for those who want to gain an understanding of the fundamental concepts and techniques used in financial management. An underlying premise of the book is that the objective of the firm is to maximize value or wealth. Drawing on a wealth of experience in the academic...
  • №19
  • 3,45 МБ
  • добавлен
  • изменен
Oxford University Press, 2011. — 459 p. Corporate finance is a multifaceted discipline in which everything works in theory but not necessarily in practice. To bridge this gap, intelligently designed and executed surveys are essential in empirically validating conceptual hypotheses and the relative usefulness of various theories. Survey Research in Corporate Finance is a unique...
  • №20
  • 1,67 МБ
  • добавлен
  • изменен
Wiley Publishing, Inc., 2008. — 355 p. — ISBN: 978-0-470-40117-0 Get smart about spending and saving - and ride out a recession! Looking for practical ways to make every dollar count? This savvy guide gives you expert tips for tightening your belt and saving cash in every area of your life - from your house and car to dining and entertaining to banking and managing debt. You...
  • №21
  • 2,18 МБ
  • добавлен
  • изменен
Bartley J. Madden, CFROI Valuation A Total System Approach to Valuing the Firm, 1999. 356 p. Contents. Preface. Author biography. Endorsements. 1. Overview. 2. CFROI life cycle. 3. CFROI model and DCF/CFROI arithmetic. 4. Market-derived discount rates and company-specific risk differentials. 5. CFROI calculation details. 6. Holts dualgrade corporate performance...
  • №22
  • 23,91 МБ
  • дата добавления неизвестна
  • изменен
London: Zed Book, 2010. — 273 p. — ISBN: 9781848133310, 9781848133327, 9781848133334. This book is about one component of the global financial sector – microfinance – that in just thirty years has risen to become one of the most important policy and programme interventions in the international development community. As originally conceived, microfinance is the provision of tiny...
  • №23
  • 2,20 МБ
  • добавлен
  • изменен
Prentice Hall – 2011, 816 pages, 2nd Edition ISBN: 0132162768, 9780132162760 An approach that blends theory and practice with real-world data analysis. International Financial Management seamlesslyblends theory with the analysis of data, examples, and practical case situations. Overall, Bekaert/Hodrick equips future business leaders with the analytical tools they need to...
  • №24
  • 7,60 МБ
  • добавлен
  • изменен
2nd ed. — Pearson, 2013. — 795 p. — ISBN 9781292034621, 1292034629, 9781299957299, 1299957293. An approach that blends theory and practice with real-world data analysis. International Financial Management seamlesslyblends theory with the analysis of data, examples, and practical case situations. Overall, Bekaert/Hodrick equips future business leaders with the analytical tools they...
  • №25
  • 12,13 МБ
  • добавлен
  • изменен
Wiley, 2012. — 449 c. Under IFRS, U.S. GAAP, and the SEC rules and regulations, business enterprises must recognise measure and disclose information regarding equity items on the face of the statement of financial position, other specific statements, or in the notes to the financial statements. However, under both IFRS and U.S. GAAP there is no all-inclusive general standard on...
  • №26
  • 2,35 МБ
  • добавлен
  • изменен
Wiley, 2012. — 846 c. An indispensable guide to making the transition to dual IFRS/GAAP financial reporting U.S. financial reporting will undergo an unprecedented level of change within the next several years. U.S. companies face a convergence between U.S. GAAP and IFRS, affecting several major accounting standards—most notably in the areas of leasing, revenue recognition, and...
  • №27
  • 4,70 МБ
  • добавлен
  • изменен
4th ed. — Pearson, 2016 — 1169 p. — ASIN B01LZ2IF49. An Emphasis on Core Financial Principles to Elevate Individuals’ Financial Decision Making Using the unifying valuation framework based on the Law of One Price, top researchers Jonathan Berk and Peter DeMarzo have set the new canon for corporate finance textbooks. Corporate Finance, Fourth Edition blends coverage of...
  • №28
  • 14,32 МБ
  • добавлен
  • изменен
4th ed. — Pearson, 2016 — 800 p. — ISBN: 978-1292158334 An Emphasis on Core Financial Principles to Elevate Individuals’ Financial Decision Making Berk and DeMarzo's Corporate Finance uses a unifying valuation framework, the Law Of One Price, to present the core content instructors expect, the new ideas they want, and the pedagogy their students need to succeed. Corporate Finance:...
  • №29
  • 21,26 МБ
  • добавлен
  • изменен
PEARSON, Prentice Hall, 2011. ISBN: 0132950421 The core concepts you expect. The new ideas you want. The pedagogy you need to succeed. Fundamentals of Corporate Finance’s applied perspective cements understanding of the modern-day core principles by equipping students with a problem-solving methodology and profiling real-life financial management practices—all within a clear...
  • №30
  • 5,98 МБ
  • добавлен
  • изменен
3rd edition. — Pearson Education Limited, 2015. — 784 p. — ISBN 1292018402. For corporate finance or financial management courses at the undergraduate level. Fundamentals of Corporate Finance’s applied perspective cements students’ understanding of the modern-day core principles, giving them a problem-solving methodology and profiling real-life financial management practices–all...
  • №31
  • 175,66 МБ
  • добавлен
  • изменен
6th ed. — Cengage, 2018. — 394 p. — ISBN 978-1337407359. Using your ideal combination of printed text and online resources, learn Corporate Finance YOUR Way with CFIN6! This easy-reference, paperback textbook presents course content through visually engaging chapters as well as Chapter Review Cards that consolidate the best review material into a ready-made study tool.
  • №32
  • 28,31 МБ
  • добавлен
  • изменен
2nd edition. — Sage Publications, 2007. — 394 p. This book is a pioneering work that integrates functional analysis of a business enterprise with stock market valuation. It goes beyond the convention of financial statements analysis to first evaluate every function of management and then integrate them to total corporate functioning of an enterprise leading to its valuation in the...
  • №33
  • 1,33 МБ
  • добавлен
  • изменен
John Wiley & Sons, Ltd, 2007. – 611 pages. This book is your launch pad to understanding the basics of all the financial considerations you face during your lifetime. Best of all, this book highlights ways to get the most from your money, but it also helps you decide where your priorities lie when it comes to your finances, and gives you the facts up front and honestly. And as...
  • №34
  • 4,44 МБ
  • добавлен
  • изменен
World Scientific – 2010, 404 pages ISBN: 9814273821, 9789814273824 This book introduces corporate financial management, based on the basic capital budgeting framework and the time value of money. It focuses on theoretical formulations and correct application of financial techniques that will help improve managerial and financial decisions. Based on fundamental principles of...
  • №35
  • 1,01 МБ
  • добавлен
  • изменен
BCS, 2016. — 281 p. — ISBN-10: 1780171226. — ISBN-13: 978-1780171227. — 3rd edition Finance is as fundamental to the IT world as it is to most other aspects of life. However, many IT professionals lack knowledge of the particular financial principles on which decisions about IT should be based - decisions that often have serious financial implications for their organisations....
  • №36
  • 8,42 МБ
  • добавлен
  • изменен
Euromoney Books, 2014. — 257 p. — ISBN 9781781372838 A brand new title from Euromoney Books written by author Martin Blaiklock who has had 40 years of experience as a banker in infrastructure project finance. The aim of the book is to provide a clear, concise and comprehensive description of the financing of infrastructure investments, a topic which overtly may seem complex,...
  • №37
  • 1,34 МБ
  • добавлен
  • изменен
Wiley, 2009. — 610 p. — ISBN: 0470080183, 9780470080184 State-of-the-art techniques and tools needed to facilitate effective credit portfolio management and robust quantitative credit analysis Filled with in-depth insights and expert advice, Active Credit Portfolio Management in Practice serves as a comprehensive introduction to both the theory and real-world practice of...
  • №38
  • 5,41 МБ
  • добавлен
  • изменен
Springer, 2019. — 87 p. — ISBN 9783030019716. This book is designed to meet the needs of CFOs, accounting and financial professionals interested in leveraging the power of data-driven customer insights in management accounting and financial reporting systems. While academic research in Marketing has developed increasingly sophisticated analytical tools, the role of customer...
  • №39
  • 2,79 МБ
  • добавлен
  • изменен
Wiley, 2016. — 296 p. — (Wiley Finance Series). — ISBN: 978-1-119-14107-5. The business guide to Big Data in insurance, with practical application insight This book is the industry-specific guide to creating operational effectiveness, managing risk, improving financials, and retaining customers. Written from a non-IT perspective, this book focusses less on the architecture and...
  • №40
  • 3,71 МБ
  • добавлен
  • изменен
Wiley, 2016. — 296 p. — (Wiley Finance Series). — ISBN: 978-1-119-14107-5. The business guide to Big Data in insurance, with practical application insight This book is the industry-specific guide to creating operational effectiveness, managing risk, improving financials, and retaining customers. Written from a non-IT perspective, this book focusses less on the architecture and...
  • №41
  • 1,83 МБ
  • добавлен
  • изменен
2nd Edition. John Wiley & Sons, Inc., 2007. – 387 pages. This book is designed for all corporate managers who need to understand the performance levels of their departments. It contains performance measurements for the accounting, engineering, logistics, production, and sales departments. These measurements cover not only financial matters, but also those related to efficiency,...
  • №42
  • 2,25 МБ
  • добавлен
  • изменен
Wiley – 2006, 315 pages, 2nd edition ISBN: 0471771562, 9780471771562 This book has been written for business owners and managers ho want to refine the accounting and financial operations of their companies. It provides detailed information about how to run these operations, track cash flows, conduct analyses, analyze key financial information, create a corporate risk...
  • №43
  • 1,76 МБ
  • добавлен
  • изменен
11th Edition. — McGraw-Hill/Irwin, 2014. — 1005 p. — ISBN 978-0-07-803476-3. Principles of Corporate Finance is the worldwide leading text that describes the theory and practice of corporate finance. Throughout the book, the authors show how managers use financial theory to solve practical problems and as a way to respond to change by showing not just how, but why companies and...
  • №44
  • 17,01 МБ
  • добавлен
  • изменен
11th Edition. — McGraw-Hill/Irwin, 2014. — 1005 p. — ISBN 978-0-07-803476-3. Principles of Corporate Finance is the worldwide leading text that describes the theory and practice of corporate finance. Throughout the book, the authors show how managers use financial theory to solve practical problems and as a way to respond to change by showing not just how, but why companies and...
  • №45
  • 16,04 МБ
  • добавлен
  • изменен
McGraw-Hill Education, 2016. - 976p. - ISBN: 9781259144387 12th.ed. The integrated solutions for Brealey's Principles of Corporate Finance have been specifically designed to help improve student performance, meaning that students are prepared for class and can successfully solve problems and analyse the results. Resources within Connect Finance provide unlimited opportunities for...
  • №46
  • 27,59 МБ
  • добавлен
  • изменен
Publication Date: January 15, 2013. Edition: 11. Pages: 1341. The integrated solutions for Brealey's Principles of Corporate Finance have been specifically designed to help improve student performance, meaning that students are prepared for class and can successfully solve problems and analyse the results. Resources within Connect Finance provide unlimited opportunities for...
  • №47
  • 33,56 МБ
  • добавлен
  • изменен
10th Edition. — McGraw-Hill/Irwin, 2010. — 968 p. — ISBN 0073530735, 9780073530734. Principles of Corporate Finance is the worldwide leading text that describes the theory and practice of corporate finance. Throughout the book, the authors show how managers use financial theory to solve practical problems and as a way to respond to change by showing not just how, but why companies...
  • №48
  • 12,67 МБ
  • добавлен
  • изменен
7th edition. — The McGraw−Hill Companies, 2003. — 1061р. The worldwide market-leading Principles of Corporate Finance continues its legacy of excellence and sets the standard to which others aspire. Brealey, Myers, and Allen show how managers use financial theory to solve practical problems by illustrating not just how, but why, companies and management act as they do....
  • №49
  • 7,20 МБ
  • дата добавления неизвестна
  • изменен
McGraw-Hill Companies, 2001. — 650 pages. Third edition This material is an introduction to corporate finance. We will discuss the various responsibilities of the corporation’s financial managers and show you how to tackle many of the problems that these managers are expected to solve. We begin with a discussion of the corporation, the financial decisions it needs to make, and...
  • №50
  • 3,75 МБ
  • дата добавления неизвестна
  • изменен
McGraw-Hill, 2017 - 800p. - ISBN: 1259722619 9th.ed. Fundamentals of Corporate Finance, by Brealey, Myers and Marcus, provides students with a solid framework of theory and application to use well after they complete the course. This author team is known for their outstanding research, teaching efforts, and world-renowned finance textbooks, so it's no surprise that they provide...
  • №51
  • 36,29 МБ
  • добавлен
  • изменен
Elsevier – 2004, 236 pages ISBN: 9780080480084, 0750659068 As individuals are becoming more and more responsible for ensuring their own financial future, portfolio or fund management has taken on an increasingly important role in banks' ranges of offerings to their clients. In addition, as interest rates have come down and the stock market has gone up and come down again,...
  • №52
  • 727,02 КБ
  • добавлен
  • изменен
Publisher: Thomson Learning, 2005, 11th edition, 941p, ISBN-13: 978-0324654127 | ISBN-10: 032465412X. This edition provides a very useful insight into the concepts of fiancial management covering the most valid topics. It is a very helpful guide whether you want to study alone or in a class. The Content: 1. An Overview of Financial Management & Financial Environment. 2....
  • №53
  • 5,25 МБ
  • добавлен
  • изменен
Thomson, 2008. — 1200 p. Written for and praised by students just like you, Financial management: theory and practice gives you relevant, practical, and easy-to-understand information covering all of the financial management topics you need to succeed in this course. Underlying theory is presented first in an accessible style and then followed by the practical application.
  • №54
  • 56,62 МБ
  • дата добавления неизвестна
  • изменен
South-Western College Pub, 2010. — 1187 p. — ISBN: 1439078092 Give future and current managers a thorough understanding of the financial theory that is essential for developing and implementing effective financial strategies in business today. Brigham/Ehrhardt's leading Financial Management: Theory and Practice (13th Edition) is the only text that strikes a perfect balance...
  • №55
  • 184,23 МБ
  • добавлен
  • изменен
Thomson, 2007. – 1070 p. in color – ISBN: 0324319878, 9780324319873. – 9th edition Much has happened in finance recently. Years ago, when the body of knowledge was smaller, the fundamental principles could be covered in a one-term lecture course and then reinforced in a subsequent case course. This approach is no longer feasible. There is simply too much material to cover in...
  • №56
  • 7,04 МБ
  • добавлен
  • изменен
Cengage Learning, 2018. - 1216p. - ISBN: 9781337395083 13th.ed The only book written specifically for Intermediate or Advanced Corporate Finance courses, Brigham/Daves' INTERMEDIATE FINANCIAL MANAGEMENT, 13E combines in-depth discussions of core issues with current coverage of the topics that are reshaping finance today. This best-selling author teams provides a unique balance of...
  • №57
  • 26,22 МБ
  • добавлен
  • изменен
14th ed. — Cengage Learning, 2013. — 1200 p. in color. — ISBN 1111972206, 1111972214, 9781111972202 Any suggestions for copywriter or provide generic description of the product to be used for the Internet or non-channel specific applications. Note: If you have a book only version for this product, it is imperative that you provide a description that does not include any...
  • №58
  • 44,36 МБ
  • добавлен
  • изменен
Concise 8th Ed. — South Western, Cengage Learning, 2015. — 692 p. in color. — ISBN: 128506514X, 9781285065144 When the first edition of Fundamentals was published 36 years ago, we wanted to provide an introductory text that students would find interesting and easy to understand. Fundamentals immediately became the leading undergraduate finance text, and it has maintained that...
  • №59
  • 27,36 МБ
  • добавлен
  • изменен
15th ed. — Cengage Learning, 2019. — 866 p. in color. — ISBN 9781337395250. Updated with the latest trends, developments, and practices from the field, Brigham/Houston's FUNDAMENTALS OF FINANCIAL MANAGEMENT, 15e equips you with a thorough understanding of today's corporate finance and financial management. This longtime market leader offers insight into federal debt, the ongoing...
  • №60
  • 41,62 МБ
  • добавлен
  • изменен
9th Concise Edition. — South-Western College Pub, 2016. — 931 p. — ISBN 978-1305635937. Equipping you with a solid understanding of real-world corporate finance and financial management, Brigham/Houston's market-leading Fundamentals of Financial Management, Concise Edition 9E offers a unique balance of the latest theory and hands-on applications. Extremely student friendly, this...
  • №61
  • 42,43 МБ
  • добавлен
  • изменен
Cengage Learning, 2009. — 626 p. in color — 6th ed. — ISBN: 0324664567, 9780324664560 Discover the latest theory, trusted research, real-world examples, and use of financial technology with the leading choice in corporate finance texts, Brigham/Houston's Fundamentals of Financial Management: Concise Edition, Sixth Edition. As concise as it is easy to understand, this complete...
  • №62
  • 12,67 МБ
  • добавлен
  • изменен
Concise 8th edition. — Cengage Learning, 2015. — 619 p. in color. — 8th ed. — ISBN: 128506514X, 9781285065144 When the first edition of Fundamentals was published 36 years ago, we wanted to provide an introductory text that students would find interesting and easy to understand. Fundamentals immediately became the leading undergraduate finance text, and it has maintained that...
  • №63
  • 55,06 МБ
  • добавлен
  • изменен
12th Edition. — South-Western College, 2009. — 752 p. Count on the renowned author team that's First in Finance to deliver a unique balance of clear concepts, contemporary theory, and practical applications that ensures a thorough understanding of today's corporate finance and financial management. Brigham/Houston's Fundamentals of financial management, 12e presents a solid,...
  • №64
  • 47,91 МБ
  • добавлен
  • изменен
Cengage Learning, 2018. - 832p. - ISBN: 9781337395250 15th.ed. Updated with the latest trends, developments, and practices from the field, Brigham/Houston's FUNDAMENTALS OF FINANCIAL MANAGEMENT, 15e equips you with a thorough understanding of today's corporate finance and financial management. This longtime market leader offers insight into federal debt, the ongoing recovery of...
  • №65
  • 41,61 МБ
  • добавлен
  • изменен
13th edition. — Cengage Learning, 2010. — 1184 p. Give future and current managers a thorough understanding of the financial theory that is essential for developing and implementing effective financial strategies in business today. Brigham/Ehrhardt's leading Financial Management: Theory and Practice (13th Edition) is the only text that strikes a perfect balance between solid...
  • №66
  • 9,21 МБ
  • добавлен
  • изменен
Concise, 4th edition. (843 pages, illustrated). Contents : Introduction to Financial Management - Fundamental Concepts in Financial Management - Financial Assets - Investing in Long-Term Assets: Capital Budgeting - Capital Structure and Dividend Policy - Working Capital Management and Multinational Financial Management.
  • №67
  • 15,58 МБ
  • добавлен
  • изменен
Под ред. Бригхем U, N-Y: McGraw-Hill, 2009 - 835 С. Российские читатели знакомы с исследованиями Бригхема по двум изданиям: в соавторстве с Гапенски (издание 1997 года), и в соавторстве с Хьюстоном - в издании "Экспресс-курс финансового менеджмента". Данное издание не было переведено на русский язык, хотя является более содержательным и наглядным. Учебник приобретается в...
  • №68
  • 14,79 МБ
  • дата добавления неизвестна
  • изменен
South Western College – 2008, 1104 pages, 12th Edition ISBN: 0324422695, 9780324422696 Written for and praised by students just like you, Financial Management: Theory and Practice gives you relevant, practical, and easy-to-understand information covering all of the financial management topics you need to succeed in this course. Underlying theory is presented first in an...
  • №69
  • 9,75 МБ
  • добавлен
  • изменен
Routledge, 2003. – 448 p. – 3rd ed. – ISBN: 0750657553, 9780750657556 Managing Financial Resources addresses the complicated issues of financial planning and control. These include performance measures and cost analysis, methods of improving profitability and techniques of financial monitoring and control. Real examples and case studies are used throughout to illustrate points...
  • №70
  • 11,51 МБ
  • добавлен
  • изменен
1st Edition. — DK, 2000. — 71 p. — ISBN 0789459698, 978-0789459695. Learn all you need to know about the budgeting process, from preparing a forecast to monitoring variances and making adjustments. Managing Budgets gives you a clear understanding of the budgeting cycles and explains standard concepts and terms. It shows you how to create a personalized budgeting system,...
  • №71
  • 1,09 МБ
  • добавлен
  • изменен
Wiley, 2003. — 457 p. The book provides comprehensive and up-to-date coverage of financial management. Jack Broyles' writing style makes concepts more easily understood and chapters significantly shorter than in comparable financial management textbooks. Accordingly, this book is particularly suitable for students on MBA programmes and for executives.
  • №72
  • 2,35 МБ
  • добавлен
  • изменен
McGraw-Hill, 2013. — 816 p. — 7th ed. — ISBN: 007786171X, 9780077861711. Case Studies in Finance links managerial decisions to capital markets and the expectations of investors. At the core of almost all of the cases is a valuation task that requires students to look to financial markets for guidance in resolving the case problem. The focus on value helps managers understand the...
  • №73
  • 12,01 МБ
  • добавлен
  • изменен
New York: Springer, 2015. — 368 p. — ISBN-10 3319147315. About the book This monograph is devoted to the modern theory of capital cost and capital structure and its application to the real economy. In particular, it presents a possible explanation to the causes of global financial crisis. The authors of the book modify the theory of Nobel Prize winners Modigliani and Miller...
  • №74
  • 10,55 МБ
  • добавлен
  • изменен
2nd ed. — Springer, 2018. — 571 p. — ISBN 3319996851. This monograph is devoted to a modern theory of capital cost and capital structure created by this book’s authors, called the Brusov–Filatova–Orekhova (BFO) theory, and its application to the real economy. BFO theory promises to replace the traditional theory of capital cost and capital structure by Nobel laureates Modigliani...
  • №75
  • 28,12 МБ
  • добавлен
  • изменен
Wiley, 2011. — 408 p. — ISBN: 1118013859, 9781118013854 The painless way to manage credit in today's financial landscape People with great credit scores are getting turned down for credit cards and loans for homes and cars. What do they need besides a good score? What are lenders looking for now that they are extremely risk-averse? Repairing broken or damaged credit is one...
  • №76
  • 4,45 МБ
  • добавлен
  • изменен
2nd ed. — American Water Works Association, 2012. — 325 p. — ISBN: 1583218599, 9781583218594 Substantially reorganized and updated from the 1995 Water Accounting Handbook (ISBN 978-0898677614), this comprehensive financial management tool provides utility management personnel thorough financial management tools for water utility operations. Coverage includes developing...
  • №77
  • 16,03 МБ
  • добавлен
  • изменен
5th edition. — London, New York: Routledge, 2009. — 710 p. — ISBN: 978-0-7656-2246-4 The new edition of this classic text is designed for an undergraduate one semester or quarter course in money and banking. Written in an informal, engaging style, with minimal math requirements, it gives students a unique understanding of the dynamic and evolving nature of the financial system...
  • №78
  • 7,51 МБ
  • добавлен
  • изменен
Учебное пособие. Автор неизвестен. Business Toolkits Управление денежными средствами. pdf [формат] Описание: Учебное пособие для изучающих финансовый анализ. Carana Corporation\USAID\РЦП, Техника эффективного управления денежными средствами, 60 страниц 533 kb Основные понятия Анализ потоков денежных средств Дефицит денежных средств Временно свободные денежные...
  • №79
  • 408,36 КБ
  • дата добавления неизвестна
  • изменен
2nd ed. — Business Expert Press, 2014. — 180 p. — ISBN 978-1631570919. This second edition continues with the successful comprehensive collection of cost-volume-pro t applications. Whether you're a business professional, entrepreneur, business professor, or student, you will bene t from this one stop how-to book of formulas, explanations, and examples. This new edition offers a...
  • №80
  • 5,62 МБ
  • добавлен
  • изменен
Duke University, Durham, North Carolina; NAtional Bureau of Economic Research, Cambridge, Massachusetts, USA. — Revised October 14, 2005. — 20 c. This paper critically reviews 12 different approaches of calculation the cost of equity capital, because in developing markets different methods can produce widely varying results.
  • №81
  • 140,75 КБ
  • добавлен
  • изменен
Portfolio / Penguin, New York, USA 2015, 163 p. PART ONE - Discovery The first chapter consists of an important question. Some people need only about fifteen to twenty minutes to answer it. Others find that some time spent thinking about the question leads them to a deeper answer. In chapter 2, you’ll make some guesses about your financial goals and how to meet them. In chapter 3,...
  • №82
  • 7,16 МБ
  • добавлен
  • изменен
Palgrave Macmillan UK, 2016. — 328 p. — ISBN: 9781137477262, 9781137477279 The Brazilian financial markets operate in a very different way to their G7 counterparts. Key differences include onshore and offshore markets, exponential rates, business days day-counts and price formation from the futures markets (instead of the cash markets). Quants, traders, structurers and risk...
  • №83
  • 3,02 МБ
  • добавлен
  • изменен
Программа CFA разработана для профессионалов в области инвестиций и финансовых рынков, а также для тех, кто собирается ими стать. Ежегодно Ассоциация CFA публикует материалы, которые могут помочь в подготовке к экзаменам на получение квалификации финансового аналитика.
  • №84
  • 3,10 МБ
  • добавлен
  • изменен
Программа CFA разработана для профессионалов в области инвестиций и финансовых рынков, а также для тех, кто собирается ими стать. Ежегодно Ассоциация CFA публикует материалы, которые могут помочь в подготовке к экзаменам на получение квалификации финансового аналитика.
  • №85
  • 1,96 МБ
  • добавлен
  • изменен
Программа CFA разработана для профессионалов в области инвестиций и финансовых рынков, а также для тех, кто собирается ими стать. Ежегодно Ассоциация CFA публикует материалы, которые могут помочь в подготовке к экзаменам на получение квалификации финансового аналитика.
  • №86
  • 2,28 МБ
  • добавлен
  • изменен
Программа CFA разработана для профессионалов в области инвестиций и финансовых рынков, а также для тех, кто собирается ими стать. Ежегодно Ассоциация CFA публикует материалы, которые могут помочь в подготовке к экзаменам на получение квалификации финансового аналитика.
  • №87
  • 2,51 МБ
  • добавлен
  • изменен
Программа CFA разработана для профессионалов в области инвестиций и финансовых рынков, а также для тех, кто собирается ими стать. Ежегодно Ассоциация CFA публикует материалы, которые могут помочь в подготовке к экзаменам на получение квалификации финансового аналитика.
  • №88
  • 1,87 МБ
  • добавлен
  • изменен
Программа CFA разработана для профессионалов в области инвестиций и финансовых рынков, а также для тех, кто собирается ими стать. Ежегодно Ассоциация CFA публикует материалы, которые могут помочь в подготовке к экзаменам на получение квалификации финансового аналитика.
  • №89
  • 2,20 МБ
  • добавлен
  • изменен
Cambridge University Press, 2012. — 292 p. — (Macroeconomic Policy Making). — ISBN: 9781107014732 Many of the assumptions that underpin mainstream macroeconomic models have been challenged as a result of the traumatic events of the recent financial crisis. Thus, until recently, it was widely agreed that although the stock of money had a role to play, in practice it could be...
  • №90
  • 2,01 МБ
  • добавлен
  • изменен
Wiley, 2018. — 336 p. — ISBN 978-1-119-44091-8 A Client-Centered approach to Financial Planning Practice built by Research for Practitioners The second in the CFP Board Center for Financial Planning Series, Client Psychology explores the biases, behaviors, and perceptions that impact client decision-making and overall financial well-being. This book, written for practitioners,...
  • №91
  • 1,77 МБ
  • добавлен
  • изменен
South-Western College Pub – 2009, 676 pages, 8th edition ISBN: 0324601204, 9780324601206 Give your students a solid understanding of financial derivatives and their use in managing the risks of financial decisions with this leading text. Chance/Brooks' An Introduction to Derivatives and Risk Management, 8e places you and your students on the forefront with an outstanding...
  • №92
  • 4,54 МБ
  • добавлен
  • изменен
South-Western College Pub, 2006. - 698 pages ISBN: 0324646275 This leading text gives students a solid understanding of financial derivatives and their use in managing the risks of financial decisions. Book provides a blend of institutional material, theory, and practical applications. The latest financial information throughout this edition and timely updates on the text's...
  • №93
  • 43,94 МБ
  • добавлен
  • изменен
Springer, 2015. — 76 p. This book clarifies several ambiguous arguments and claims in finance and the theory of the firm. It also serves as a bridge between derivatives, corporate finance and the theory of the firm. In addition to mathematical derivations and theories, the book also uses anecdotes and numerical examples to explain some unconventional concepts. The main arguments...
  • №94
  • 2,78 МБ
  • добавлен
  • изменен
Oxford University Press, 2005. — 200 p. Develop our understanding of the relationship between management control systems (MCS) and strategy through the synthesis of a considerable range of work in the fields of strategy and management accounting. Contents Controlling Strategy Content and Process Approaches to Studying Strategy and Management Control Systems The...
  • №95
  • 1,89 МБ
  • добавлен
  • изменен
7th edition. — McGraw-Hill Education, 2015. — 570 p. International Financial Management is written based on two distinct parts: emphasis on the basics and emphasis on a managerial perspective. As capital markets of the world become more integrated, a solid understanding of international finance has become essential for astute corporate decision making. International Financial...
  • №96
  • 25,54 МБ
  • добавлен
  • изменен
Cornell Publishing, 2019. — 249 p. — ISBN 1501730940, 9781501730948. Every day, people around the world make financial decisions. They choose to invest in a stock, sell their holdings in a mutual fund or buy a condominium. These decisions are complex and financially tricky--even for financial professionals. But the literature available on financial research is dated and narrowly...
  • №97
  • 7,11 МБ
  • добавлен
  • изменен
Wiley, 2018. — 328 p. — ISBN 978-1-119-36222-7. Get a handle on disruption, innovation and opportunity in investment technology The digital evolution is enabling the creation of sophisticated software solutions that make money management more accessible, affordable and eponymous. Full automation is attractive to investors at an early stage of wealth accumulation, but hybrid models...
  • №98
  • 3,86 МБ
  • добавлен
  • изменен
Wiley, 2018. — 328 p. — ISBN 978-1-119-36222-7. Get a handle on disruption, innovation and opportunity in investment technology The digital evolution is enabling the creation of sophisticated software solutions that make money management more accessible, affordable and eponymous. Full automation is attractive to investors at an early stage of wealth accumulation, but hybrid models...
  • №99
  • 3,45 МБ
  • добавлен
  • изменен
Elsevier, 2013. — 158 p. — 2nd ed. — ISBN: 9780080982953 The second edition of An Introduction to Credit Derivatives provides a broad introduction to products and a marketplace that have changed significantly since the financial crisis of 2008. Author Moorad Choudhry gives a practitioner's perspective on credit derivative instruments and the risks they involve in a succinct...
  • №100
  • 5,54 МБ
  • добавлен
  • изменен
Imperial College Press, 2005. — 243 p. ISBN 1-86094-479-5 The main objective of this book is to introduce and familiarise the reader with the financial management of the business enterprise. This involves learning the language of finance, the environment in which finance takes place, as well as a number of methods of financial analysis. Additionally, a number of finance...
  • №101
  • 1,13 МБ
  • добавлен
  • изменен
Kluwer, 1987. — 350 p. The central emphasis in the book is on the transaction and the constraints that its architecture imposes on a discussion of monetary theory and policy. Because of their comprehensiveness and discipline the flow-of-funds accounts are the ideal vehicle for theorizing about real and financial interaction. Such int- action can best be understood when real and...
  • №102
  • 13,12 МБ
  • добавлен
  • изменен
This book outlines the epistemic risks associated with the current valuations of different financial instruments and discusses the corresponding risk management strategies. It covers most of the research and practical areas in computational finance. Starting from traditional fundamental analysis and using algebraic and geometric tools, it is guided by the logic of science to...
  • №103
  • 12,29 МБ
  • дата добавления неизвестна
  • изменен
Hershey: IGI Global, 2015. — 560 p. In an ever-changing economy, market specialists strive to find new ways to evaluate the risks and potential reward of economic ventures by assessing the importance of human reaction during the economic planning process. The Handbook of Research on Behavioral Finance and Investment Strategies: Decision Making in the Financial Industry...
  • №104
  • 13,12 МБ
  • добавлен
  • изменен
Springer, 2016. — 471 p. — ISBN 978-3319395487. This book draws readers’ attention to the financial aspects of daily life at a corporation by combining a robust mathematical setting and the explanation and derivation of the most popular models of the firm. Intended for third-year undergraduate students of business finance, quantitative finance, and financial mathematics, as...
  • №105
  • 3,36 МБ
  • добавлен
  • изменен
Springer, 2018. — 511 p. — ISBN : 3319957619 2nd.ed. This book draws readers’ attention to the financial aspects of daily life at a corporation by combining a robust mathematical setting and the explanation and derivation of the most popular models of the firm. Intended for third-year undergraduate students of business finance, quantitative finance, and financial mathematics, as...
  • №106
  • 6,95 МБ
  • добавлен
  • изменен
Springer, 2018. — 511 p. — ISBN : 3319957619 2nd.ed. This book draws readers’ attention to the financial aspects of daily life at a corporation by combining a robust mathematical setting and the explanation and derivation of the most popular models of the firm. Intended for third-year undergraduate students of business finance, quantitative finance, and financial mathematics, as...
  • №107
  • 7,01 МБ
  • добавлен
  • изменен
CRC Press, 2016. — 161 p. This book addresses ways to provide the highest quality water services at the lowest possible cost, and examines the major finance issues that system managers face. It deals with grants, loans, municipal bonds, tariffs/rates and subsidies, as well as the major government finance programs offered by the Department of Agriculture and the EPA. It also...
  • №108
  • 2,15 МБ
  • добавлен
  • изменен
Wiley, 2020. — 872 p. — ISBN 978-1-119-59559-5. This book and its companion website explore the practical uses of derivatives and offer a guide to the key results on pricing, hedging and speculation using derivative securities. The book links the theoretical and practical aspects of derivatives in one volume whilst keeping mathematics and statistics to a minimum. Throughout the...
  • №109
  • 10,30 МБ
  • добавлен
  • изменен
2nd ed. — Chapman and Hall/CRC, 2017. — 668 p. — ISBN 9781498765046, 1498765041, 1498765033, 9781498765039 A properly structured financial model can provide decision makers with a powerful planning tool that helps them identify the consequences of their decisions before they are put into practice. Introduction to Financial Models for Management and Planning, Second Edition enables...
  • №110
  • 78,58 МБ
  • добавлен
  • изменен
Под ред. А. Дамодарана, Princeton, 2004. - 856 р. Язык издания - английский. Второе по значимости и объёму исследование Асвата Дамодарана (после "Инвестиционной оценки"). Издание не переводилось на русский язык, приведено в оригинальном формате. Основные вопросы: Фундаментальные концепции финансового менеджмента. Решения на рынке ценных бумаг. Концепция риск-менеджмента....
  • №111
  • 15,34 МБ
  • дата добавления неизвестна
  • изменен
Wiley, 2010. – 752 p. – 3rd ed. – ISBN: 0470384646, 9780470384640, 9780470574225 Readable and usable in style and valuable in approach, this text provides the practical and succinct advice that students and practitioners need, rather than a sole concentration on debate theory, assumptions, or models. Like no other text of its kind, the author applies corporate finance to real...
  • №112
  • 35,11 МБ
  • добавлен
  • изменен
New York University: Stern School of Business, 2008. - 32 с. In corporate finance and valuation, we start off with the presumption that the riskfree rate is given and easy to obtain and focus the bulk of our attention on estimating the risk parameters of individuals firms and risk premiums. But is the riskfree rate that simple to obtain? Both academics and practitioners have...
  • №113
  • 1,26 МБ
  • добавлен
  • изменен
Edward Elgar Publishing Ltd., UK/USA, 2004. — 285 c. — ISBN 1840647116 This book explains nature of Public Private Partnerships. Contents: The nature of partnerships The revolution in infrastructure The origins of partnerships Partnerships and conventional procurement of infrastructure The structure of partnership agreements Issues in public private partnerships; Risk...
  • №114
  • 1,17 МБ
  • добавлен
  • изменен
Pearson, 2014. — 976 p. — ISBN 0273773860. Corporate Finance and Financial Strategy answers these and many more questions. This textbook introduces contemporary financial issues and topics of growing importance such as Islamic finance, corporate governance, and behavioural finance, and discusses reasons for and implications of the current global financial crisis. Along with its...
  • №115
  • 9,50 МБ
  • добавлен
  • изменен
Euromoney, 1996. — 222 p. Based on first hand experience of leading bankers, investors lawyers, developers and government officials, this new book examines recent developments in project financing techniques worldwide.
  • №116
  • 4,40 МБ
  • добавлен
  • изменен
Palgrave Macmillan, 2018. — 313 p. This book aims to be one of the most concise introductory guides to investing across many different markets. Many of these investment categories or styles may be outside the comfort zone of non-professionals, or of investment professionals specializing in one of the other “boxes” looking for a refreshing view on another investment “box”. Each...
  • №117
  • 9,79 МБ
  • добавлен
  • изменен
Palgrave Macmillan, 2018. — 313 p. This book aims to be one of the most concise introductory guides to investing across many different markets. Many of these investment categories or styles may be outside the comfort zone of non-professionals, or of investment professionals specializing in one of the other “boxes” looking for a refreshing view on another investment “box”. Each...
  • №118
  • 52,96 МБ
  • добавлен
  • изменен
7th edition. — Academic Press, 2013. — 768 p. — ISBN 978-0123854872. In the seventh edition of Mergers, Acquisitions, and Other Restructuring Activities – winner of a 2014 Textbook Excellence Award (Texty) from the Text and Academic Authors Association – Donald DePamphilis looks into the heart of current economic trends. In addition to a new chapter on the ways deals are financed,...
  • №119
  • 10,50 МБ
  • добавлен
  • изменен
Oxford University Press, 2011. — 559 p. — ISBN: 0199601445, 9780199601448 Project finance is used worldwide to structure and finance natural resource and infrastructure projects and practitioners must have a thorough grasp of the underlying principles of this specialist area. With a logical and helpful structure, this book addresses this need, providing a detailed analysis of...
  • №120
  • 1,56 МБ
  • добавлен
  • изменен
South-Western College Pub – 2010, 840 pages, 4th Edition ISBN: 1439078084, 9781439078082 Focus on the financial concepts, skills, and technological applications that are most critical in today's workplace with Corporate Finance: A Focused Approach, 4e. This lean text provides an in-depth treatment of topics essential to corporate finance within a streamlined presentation you...
  • №121
  • 21,23 МБ
  • добавлен
  • изменен
Wiley Trading Series, Wiley, 2004. — 294 p. — ISBN 978-0470850268. In Financial Risk Taking, trader and psychologist Mike Elvin explores the complex relationship between human behaviour patterns and the markets, offering the reader a context in which to assess their own strengths and weaknesses as investors. The book offers an apposite and uncomplicated system of skills...
  • №122
  • 3,28 МБ
  • добавлен
  • изменен
Wiley, 2009. – 386 p. – 2nd ed. – ISBN: 0470376287, 9780470376287 The second edition includes over 25 percent new and updated information including: New information on the separate accounting and financial reporting standards for private/small businesses versus public/large businesses Updated information that reflects the 2007 law on international financial reporting...
  • №123
  • 6,82 МБ
  • добавлен
  • изменен
McGraw-Hill, 2001, 480 pp. This volume is an adaptation for the professional market of the most recent 10th (millennium) edition of Dr. Helfert’s best-selling Techniques of Financial Analysis, which, with more than half a million copies in print over the past 38 years, has given the student, analyst, and business executive a concise, practical, usable, and up-to-date overview...
  • №124
  • 3,30 МБ
  • дата добавления неизвестна
  • изменен
The book Supply Chain Finance Solutions offers orientation in the new discipline of Supply Chain Finance (SCF) by investigating the need for and nature of SCF, along with its characteristics and enablers. Due to the novelty of the Supply Chain Finance approach, there are still many knowledge gaps. This lack of research leads to uncertainties about the successful implementation of...
  • №125
  • 743,19 КБ
  • дата добавления неизвестна
  • изменен
Vahlen, 2012. — 516 p. — ASIN B013JBKMOU The authors present all core aspects of Corporate Finance: M&A, Private Equity, Acquisition Financing, IPO, and Going Private. Furthermore, the techniques Due Diligence and Valuation are scrutinised. The book includes various case studies, which help to get a practical understanding and apply the techniques in the user´s day-to-day...
  • №126
  • 7,36 МБ
  • добавлен
  • изменен
Pearson Education Limited, 2006. – 408 p. – ISBN: 0273675400, 9780273675402 No other book is a comprehensive toolkit of financial issues, instructive, and so easy to read, all at the same time – this is an easy-to-read guide to the hard-to-understand stuff of business finance. The author regularly gives talks, seminars, and courses for executives and is very aware of their...
  • №127
  • 2,47 МБ
  • добавлен
  • изменен
McGraw-Hill, 2011. – 576 p. – 6th ed. –ISBN: 0078034655, 9780078034657 International Financial Management is written based on two distinct parts: emphasis on the basics and emphasis on a managerial perspective. As capital markets of the world become more integrated, a solid understanding of international finance has become essential for astute corporate decision making....
  • №128
  • 20,15 МБ
  • добавлен
  • изменен
McGraw-Hill Education, 2017. - 576p. - ISBN: 978-1259717789 8th.ed. International Financial Management provides students with a foundation for analysis that will serve them well in their careers ahead. The decision-making process is presented through the text with the goal of teaching students how to make informed managerial decisions in an evolving global financial landscape. And...
  • №129
  • 43,17 МБ
  • добавлен
  • изменен
6th ed. - Published by McGraw-Hill/Irwin, a business unit of The McGraw-Hill Companies, Inc., 2012. - 551 pages ISBN 978-0-07-803465-7 Непрерывный архив RAR Part 2 (Следует скачать три части) Foundations of International Financial Management Globalization and the Multinational Firm International Monetary System Balance of Payments Corporate Governance around the...
  • №130
  • 95,78 МБ
  • добавлен
  • изменен
6th ed. 2012. - Published by McGraw-Hill/Irwin, a business unit of The McGraw-Hill Companies, Inc., 2012. - 551 pages ISBN 978-0-07-803465-7 Непрерывный архив RAR Part 3 (Следует скачать три части) Foundations of International Financial Management Globalization and the Multinational Firm International Monetary System Balance of Payments Corporate Governance around...
  • №131
  • 17,77 МБ
  • добавлен
  • изменен
6th ed. - Published by McGraw-Hill/Irwin, a business unit of The McGraw-Hill Companies, 2012. - 551 pages ISBN 978-0-07-803465-7 Непрерывный архив RAR (следует скачать три части) Foundations of International Financial Management Globalization and the Multinational Firm International Monetary System Balance of Payments Corporate Governance around the World The...
  • №132
  • 95,78 МБ
  • добавлен
  • изменен
Wiley, 2014. — 273 p. — (The Wiley finance series) — ISBN: 1118867963, 978-1-118-86796-9 This book originates from the lecture notes I’ve used in the classroom. It reflects the courses I’ve followed (in particular those of Malcolm Walter, Arthur Thomas, Peter Boettke and Jeffrey Rogers Hummel), and textbooks I’ve read. Although I’ve tried to provide extensive references I am...
  • №133
  • 1,33 МБ
  • добавлен
  • изменен
2 edition. — Wiley, 2003. — 1024 p. Financial Management and Analysis is an introduction to the concepts, tools, and applications of finance. The purpose of this textbook is to communicate the fundamentals of financial management and financial analysis. This textbook is written in a way that will enable students who are just beginning their study of finance to understand...
  • №134
  • 12,43 МБ
  • дата добавления неизвестна
  • изменен
Wiley, 2009. — 811 p. — ISBN: 0470407352, 9780470407356. A comprehensive introduction to the dynamic world of finance. Created by the experienced author team of Frank Fabozzi and Pamela Peterson Drake, Introduction to Finance examines the essential elements of this discipline and makes them understandable to a wide array of readers. For seasoned professionals looking for a...
  • №135
  • 4,47 МБ
  • добавлен
  • изменен
Wiley, 2018. — 170 p. — ISBN 978-1-11941615-9. Understand Regulation A+ and other alternative funding methods Regulation A+ and Other Alternatives to a Traditional IPO delves into the details of the new SEC rules under the JOBS Act of 2012 to examine the benefits and pitfalls for entrepreneurs and investors. Written by the 'Godfather of Reg A+,' this book breaks down the complex...
  • №136
  • 747,21 КБ
  • добавлен
  • изменен
Wiley, 2018. — 170 p. — ISBN 978-1-11941615-9. Understand Regulation A+ and other alternative funding methods Regulation A+ and Other Alternatives to a Traditional IPO delves into the details of the new SEC rules under the JOBS Act of 2012 to examine the benefits and pitfalls for entrepreneurs and investors. Written by the 'Godfather of Reg A+,' this book breaks down the complex...
  • №137
  • 778,72 КБ
  • добавлен
  • изменен
Wiley, 2018. — 170 p. — ISBN 9781119416159. Understand Regulation A+ and other alternative funding methods Regulation A+ and Other Alternatives to a Traditional IPO delves into the details of the new SEC rules under the JOBS Act of 2012 to examine the benefits and pitfalls for entrepreneurs and investors. Written by the 'Godfather of Reg A+,' this book breaks down the complex...
  • №138
  • 689,52 КБ
  • добавлен
  • изменен
2nd ed. Hoboken, New Jersey: John Wiley & Sons, Inc., 2007. – 291 pages. ‘‘Crash Course’’ is not an accounting textbook. This is a crash course, born out of years of our experience training students and professionals who need to learn accounting quickly in order to understand financial reports, perform financial analysis, and speak the language of business. Our trainees come...
  • №139
  • 20,59 МБ
  • добавлен
  • изменен
Oxford University Pres, 2014. — 528 p. — 2nd ed. — ISBN: 0199671354, 0199671346 Corporate finance theory seeks to understand how incorporated firms address the financial constraints that affect their investment decisions. This is achieved by using varied financial instruments that give holders different claims on the firm's assets. Recent scholarship in this area explores...
  • №140
  • 2,87 МБ
  • добавлен
  • изменен
Apress, 2013. — 374 p. — ISBN: 9781430260646. Implementing a financial plan to manage the future is very important. If you have not assembled such a plan, or even if you have not thought about how best to manage your financial future, the time to do so is now, and the resource you need to walk you through every step of the personal financial planning process is Plan Your...
  • №141
  • 1,92 МБ
  • добавлен
  • изменен
Various authors. — Bloomsbury Information Ltd, 2011. — 256 p. — ISBN 978-1849300193. Financing and Raising Capital provides coverage of all options for raising finance at different stages of your company's growth: angel finance, venture capital funding, both public and private equity, IPOs, raising capital from both small and institutional investors, issuing debt, and...
  • №142
  • 22,56 МБ
  • добавлен
  • изменен
3rd ed. — Wiley, 2013. — 500 p. — ISBN 978-1118394106. A timely update to one of the most well-received books on project financing As an effective alternative to conventional direct financing, project financing has become one of the hottest topics in corporate finance. It's being used more and more frequently — and more successfully — on a wide variety of high-profile corporate...
  • №143
  • 5,41 МБ
  • добавлен
  • изменен
UMT Press, 2003. — 104 p. — ISBN: 097267294X, 9780972672948 This book is written for project professionals who need to strengthen their financial skills quickly, without having to go back to graduate school. It addresses core financial principles and tools that today's project professionals should master. It provides practical insights that are well illustrated. Content:...
  • №144
  • 1,13 МБ
  • добавлен
  • изменен
Published by John Wiley & Sons, Inc., Hoboken, New Jersey 2010. The Basics of Finance is an accessible book for those who want to gain a better understanding of this field, but lack a strong business background. It covers essential concepts, tools, methods, and strategies in finance without delving too far into theory. Written by the experienced author team of Frank Fabozzi...
  • №145
  • 5,75 МБ
  • добавлен
  • изменен
New York: Published by John Wiley & Sons, Inc. 2002. - 396 p. ISBN 0-471-40915-4 This third edition of Financial Statement Analysis, like its predecessors, seeks to equip its readers for practical challenges of contemporary business. Once again, the intention is to acquaint readers who have already acquired basic accounting skills with the complications that arise in...
  • №146
  • 3,02 МБ
  • дата добавления неизвестна
  • изменен
John Wiley & Sons, 2002 The most common way to evaluate the success of investments is by measuring the return on investment (ROI).ROI is a better measure of profitability and management performance than profit itself because ROI considers the investment base required to generate profit. The primary objectives in this book are to: Explain the meaning of ROI and its components...
  • №147
  • 1,50 МБ
  • добавлен
  • изменен
Wiley, 2002, 288 pp. The financial analysis of companies is usually undertaken so that investors, creditors, and other stakeholders can make decisions about those companies. The focus of this book is on the financial analysis of companies that are publicly traded and therefore make public the data and information needed by stakeholders, who can then use the analytical...
  • №148
  • 1,78 МБ
  • дата добавления неизвестна
  • изменен
Wiley, 2014. — 208 p. — ISBN 978-1118434796. The expansive growth of the dim sum bond market in the last five years has peaked investor interest and inspired companies to seek out investing opportunities that negate China's capital controls. In a four-pronged approach, Dim Sum Bonds examines the development of the dim sum bond market and its role in China's RMB...
  • №149
  • 30,50 МБ
  • добавлен
  • изменен
Aupha Hap, 2000. — 623 p. Understanding Health Care Financial Managementis designed for use in health services administration financial management courses in which students had prerequisite courses in both accounting and corporate finance. In general, such courses are case courses, so this book served primarily as a reference tool when working healthcare finance cases. The...
  • №150
  • 7,79 МБ
  • добавлен
  • изменен
South-Western College Pub – 2009, 624 pages. ISBN: 143903902X, 9781439039021. Personal Finance, Tenth Edition, offers a practical, student-friendly introduction to personal financial management. Using a structured, step-by-step approach, this market-leading text helps students learn how to save and invest, manage student loans, file taxes, decrease credit card debt, and plan...
  • №151
  • 81,53 МБ
  • добавлен
  • изменен
Academic Press, 2012. — 472 p. — 2nd ed. — ISBN: 0123919460, 9780123919465 This book presents comprehensive coverage of project finance in Europe and North America. The Second Edition features two new case studies, all new pedagogical supplements including end-of-chapter questions and answers, and insights into the recent market downturn. The author provides a complete...
  • №152
  • 11,89 МБ
  • добавлен
  • изменен
Academic Press, 2008. – 435 p. – ISBN: 0123736994, 9780123736994 Project finance is a fast-growing area of capital investment for major infrastructure and other large projects. Financing such projects as EuroDisney, airports, highways, tunnels, schools, hospitals, and other large projects presents a complex and interesting challenge that the specialty of project finance takes...
  • №153
  • 4,32 МБ
  • добавлен
  • изменен
3rd Edition. — Academic Press, 2019. — 622 p. — ISBN 978-0-12-811401-8. This book, Third Edition presents a set of topics that can be applied to any project financing task. It includes essential, core material for project finance, offering new insights about Sharia-compliant instruments and a comprehensive overview of the current state of the international regulation of banking...
  • №154
  • 35,26 МБ
  • добавлен
  • изменен
7th ed. — Wiley, 2017. — 672 p. — ISBN 978-1119380764. The essential M&A primer, updated with the latest research and statistics. Mergers, Acquisitions, and Corporate Restructurings provides a comprehensive look at the field's growth and development, and places M&As in realistic context amidst changing trends, legislation, and global perspectives. All-inclusive coverage merges...
  • №155
  • 11,43 МБ
  • добавлен
  • изменен
Wiley, 2015. — 288 p. — ISBN: 9781118827383 A comprehensive resource for understanding the complexities of agricultural finance Agricultural Finance: From Crops to Land, Water, and Infrastructure is a pioneering book that offers a comprehensive resource for understanding the worldwide agriculture markets, from spikes in agricultural commodity prices to trading strategies, and...
  • №156
  • 5,61 МБ
  • добавлен
  • изменен
8th ed. — Cengage, 2000. — 672 p. The extensively revised 8th edition thoroughly involves readers with Financial Statements by using real-world examples. The emphasis is on the analysis and interpretation of the end result of financial reporting and financial statements.
  • №157
  • 9,42 МБ
  • добавлен
  • изменен
12th edition. — South-Western College Pub, 2010. — 576 p. — ISBN 1439044473, 9781439044476. In the midst of today's shifting financial environment and fast-paced, changing lives, solid financial planning is more important than ever. Gitman/Joehnk/Billingsley's market-leading Personal Financial Planning, 12e provides your students with the tools, techniques, and understanding they...
  • №158
  • 14,99 МБ
  • добавлен
  • изменен
13th edition. — Pearson, 2012. — 947 p. Introduction to Managerial Finance Financial Tools Valuation of Securities Risk and the Required Rate of Return Long-Term Investment Decisions Long-Term Financial Decisions Short-Term Financial Decisions Special Topics in Managerial Finance
  • №159
  • 11,64 МБ
  • добавлен
  • изменен
14th Global edition. — Pearson, 2015. — 936 p. — ISBN 1292018208. Guide students through complex material with a proven learning goal system. This system”a hallmark feature of Principles of Managerial Finance”weaves pedagogy into concepts and practice, giving students a roadmap to follow through the text and supplementary tools. MyFinanceLab for Principles of Managerial Finance...
  • №160
  • 11,69 МБ
  • добавлен
  • изменен
7th Edition. — Pearson, 2014. — 720 p. — ISBN 978-0133546408. For Introduction to Managerial Finance courses. Guide students through complex material with a proven learning goal system. This system – a hallmark feature of Principles of Managerial Finance, Brief —weaves pedagogy into concepts and practice, giving students a roadmap to follow through the text and supplementary...
  • №161
  • 29,02 МБ
  • добавлен
  • изменен
Под ред. Glantz, Atlanta: Amacon, 2000 Издание отличается глубокой проработкой основных проблем финансового менеджмента: использования реальных опционов, визуальных финансовых моделей, проблемы устойчивого роста и управления денежным потоком, использование метода Монте-Карло в финансовом планировании, риск-менеджмент и т. д. Язык издания - английский
  • №162
  • 12,91 МБ
  • дата добавления неизвестна
  • изменен
Под ред. Арнольд Глен, N-Y: Financial Times, 2007 - 737 C. Финансы являются основой для принятия корпоративных решений и языком лиц, принимающих эти решения. В данной книге шаг за шагом раскрываются принципы и методы управления корпоративными финансами и финансовыми рынками. На первом этапе раскрываются техники анализа инвестиций в реальные активы, методы оценки стоимости...
  • №163
  • 3,40 МБ
  • дата добавления неизвестна
  • изменен
Edition 2011, 146 pages. This document is organized in two dimensions: From the GUI (Graphical User Interface) explaining the available options and their functions, with links to deeper descriptions and usage. Chapter 4, GnuCash Windows & Menus Options Overview By classifying Operations, Tasks, or Functions based on whether it is an Account, Transaction, Reporting or other...
  • №164
  • 1,43 МБ
  • добавлен
  • изменен
Edition 2011, 219 pages GnuCash is the personal finance software package made for you. It is versatile enough to keep track of all your financial information, from the simple to the very complex. It is one of the few financial software packages that supports global currencies, and it is the only open-source program of its kind. Best of all, GnuCash is easy to learn and use!...
  • №165
  • 7,41 МБ
  • добавлен
  • изменен
New York, USA: Routledge, 2018. — 119 p. — (Routledge Focus on Business and Management). — ISBN-10 0815371411. This book explores accounting for biological assets under IAS 41 - Agriculture, and explains the recent adjustments introduced by the IASB which allow firms to choose between cost or revaluation models concerning mature bearer plants. Identifying the firm and...
  • №166
  • 8,71 МБ
  • добавлен
  • изменен
N.-Y., Amherst Enterprises, Ltd., 2003. 272p. Описываются методы фальсификации публичной отчётности корпораций и другие способы введения ими в заблуждение инвестора и методы противостояния этим способам. Для финансовых аналитиков и инвесторов.
  • №167
  • 1,45 МБ
  • добавлен
  • изменен
Springer, 2019. — 108 p. — ISBN 978-3030003432. This book analyzes the impacts that family control of firms has on capital structure choices, leverage and the risk of financial distress, earnings management practices, and the relation between accounting choices and firm market value. For these purposes, longitudinal data on Italian family and non-family non-financial firms are...
  • №168
  • 2,20 МБ
  • добавлен
  • изменен
Wiley, 2018. - 272p. - ISBN: 1119417945. Future-proof your business today for stronger performance tomorrow. The Stress Test Every Business Needs: A Capital Agenda for Confidently Facing Digital Disruption, Difficult Investors, Recessions and Geopolitical Threats provides a comprehensive approach to creating value and flexibility in an increasingly volatile business environment...
  • №169
  • 2,05 МБ
  • добавлен
  • изменен
Wiley, 2018. - 272p. - ISBN: 1119417945. Future-proof your business today for stronger performance tomorrow. The Stress Test Every Business Needs: A Capital Agenda for Confidently Facing Digital Disruption, Difficult Investors, Recessions and Geopolitical Threats provides a comprehensive approach to creating value and flexibility in an increasingly volatile business environment...
  • №170
  • 3,38 МБ
  • добавлен
  • изменен
Wiley, 2010. – 370 p. – ISBN: 0470481781, 9780470481783 A comprehensive look at the emergence of infrastructure finance Just as infrastructure development acts as a catalyst for economic growth, it is also changing the landscape for potential investors and the burgeoning field of infrastructure finance. Infrastructure systems for transportation, utilities, and public works are...
  • №171
  • 4,07 МБ
  • добавлен
  • изменен
Под ред. Grinblatt M, Mc-Graw Hill - 2002, 894 C. Язык издания - английский Учебник является основой курса корпоративные финансы для финансовых менеджеров, используется в программе "Международный финансовый менеджмент" (совместный диплом ВШЭ и LSE). Содержание охватывает базовые принципы современного управления финансами, включая модели оценки акций, облигаций, принятие...
  • №172
  • 4,74 МБ
  • дата добавления неизвестна
  • изменен
Wiley, 2005. – 304 p. – 2nd ed. – ISBN: 0471458236, 9780471458234 A timely guide for those investing in research and development. Completely updated and expanded, this edition examines the relationship between managing research development (R&D) and sustaining sound financial policy. Through extensive fieldwork and consulting, the author demonstrates how to balance and manage...
  • №173
  • 1,75 МБ
  • добавлен
  • изменен
Wiley, 2007. — 467 p. With The Hedge Fund Compliance and Risk Management Guide, you'll discover exactly why this is true and learn how you can hone your skills to make better decisions in the dynamic world of hedge funds.
  • №174
  • 1,89 МБ
  • добавлен
  • изменен
McGraw-Hill – 2003, 500 pages, 7th edition ISBN: 0071419446, 9780071419444 This streamlined seventh edition provides in-depth coverage and analysis of the latest tax law changes. In addition, it features an entirely new chapter on planning and paying for education expenses, including the new 529 plans ramifications of the GST estate tax repeal new checklists and questions to...
  • №175
  • 2,11 МБ
  • добавлен
  • изменен
ISTE–Wiley, 2018. — 271 p. — (Diverse and Global Perspectives on Value Creation Set: Volume 3). — ISBN 978-1-84821-973-1. Economic players must often choose between several strategic options in a fierce competitive environment where interactions with competitors make decisions particularly complex. Game theory offers useful insights to choose an optimal decision or at least a...
  • №176
  • 4,69 МБ
  • добавлен
  • изменен
South-Western College – 2007, 864 pages, 6th edition ISBN: 0324559674, 9780324559675 Introduce your students to the dynamic, exciting nature of cost management as this edition demonstrates how today's conditions consistently require change in cost management systems. Hansen/Mowen/Guan's Cost Management: Accounting and Control, Sixth Edition, first covers functional-based cost...
  • №177
  • 13,12 МБ
  • добавлен
  • изменен
Wiley, 2009. — 232 p. Much of current management literature focuses on a limited set of 'classical' value levers, such as cost reduction, sales optimization or mergers & acquisitions, thus neglecting another core value lever: capital investments. That capital investments receive such limited attention is all the more surprising when one considers how vitally important they are to...
  • №178
  • 2,30 МБ
  • добавлен
  • изменен
McGraw-Hill/Irwin, 2011. — 480 p. Analysis for Financial Management, 10e presents standard techniques and modern developments in a practical and intuitive manner with an emphasis on the managerial applications of financial analysis. It is intended for non-financial managers and business students interested in the practice of financial management.
  • №179
  • 4,33 МБ
  • добавлен
  • изменен
New York: Routledge, 2017. — 399 p. — ISBN 978-1-138-94129-8. The world of construction is intrinsically linked with that of finance, from the procurement and tendering stage of projects right through to valuation of buildings. In addition to this, things like administrations, liquidations, mergers, take-overs, buy-outs and floatations affect construction firms as they do all other...
  • №180
  • 4,55 МБ
  • добавлен
  • изменен
BoBoCoAe, RAH & Ventus Publishing ApS – 2008, 108 pages ISBN: 8776814250, 9788776814250 This book reviews the subject within the context of current events. Each chapter contains activities (with solutions) to test understanding at your own pace. In a world of geo-political, social and economic uncertainty, Strategic Financial Management is under pressure. Comprehensive, yet...
  • №181
  • 5,69 МБ
  • добавлен
  • изменен
Ventus Publishing ApS. – ISBN 978-87-7061-426-. 9. – 2009. – 103 p. The book includes exercises for the textbook Strategic Financial Management of Hill R.A. Contents. An Introduction. Finance – An Overview. The Investment Decision. Capital Budgeting Under Conditions of Certainty. Capital Budgeting and the Case for NPV. The Treatment of Uncertainty. The Finance Decision....
  • №182
  • 3,25 МБ
  • добавлен
  • изменен
Bookboon, 2010. — 120 p. How do companies determine an optimum portfolio of investment strategies that satisfy a multiplicity of shareholders with different wealth aspirations, who may also hold their own diverse portfolio of investments?
  • №183
  • 2,32 МБ
  • добавлен
  • изменен
Bookboon, 2010. — 73 p. — ISBN 978-87-7681-616-2. This Exercise book and theory text evaluate Modern Portfolio Theory (Markowitz, CAPM and APT) for future study. From the original purpose of MPT through to asset investment by management, we learn why anybody today with the software and a reasonable financial education can model portfolios. However, one lesson from the 2007...
  • №184
  • 3,33 МБ
  • добавлен
  • изменен
Wiley, 2017. — 416 p. — ISBN 978-1119440482. Step up stock selection with advanced valuation techniques. Beyond Earnings provides finance professionals with the most advanced techniques available for complex valuation and corporate performance analysis. Deep in detail and comprehensive in scope, this book features the first empirical discussion of mean-reversion in corporate...
  • №185
  • 8,52 МБ
  • добавлен
  • изменен
Routledge, 2019. - 300p. - ISBN: 1138550655 Proper cost accounting and financial management are essential elements of any successful construction job, and therefore make up essential skills for construction project managers and project engineers. Many textbooks on the market focus on the theoretical principles of accounting and finance required for head office staff like the chief...
  • №186
  • 9,30 МБ
  • добавлен
  • изменен
Сегодня от финансовых директоров (CFO) требуется не только умение управлять цифрами и составлять подробные годовые отчеты. От них ожидают стратегических решений, лидерских качеств, новаторства, способности избегать рисков и повышать благосостояние всей организации. Автор этой книги критикует общепринятые представления о роли финансового директора и формулирует семь новых...
  • №187
  • 29,27 МБ
  • дата добавления неизвестна
  • изменен
2nd edition. — John Wiley & Sons, Inc., 2005. — 232 p. - This Second Edition prepares you unlike any other prep guide, combining all of the aspects of the Exam—Research, Communications, Simulations, and Content Change—in one convenient reference source. With each chapter designed as a separate informational unit, You Can Pass the CPA Exam: Get Motivated! will get you ready by...
  • №188
  • 1,86 МБ
  • добавлен
  • изменен
Wiley, 2017. — 256 p. — ASIN B077V9B83N. The formula that transforms the probability of success when growing your business with M&A The M&A Formula brings together decades of research and case studies from recognised leaders into a model that anybody can use to grow their business using M&A, no matter large or small. Whether you see it as avoiding the painful failure that...
  • №189
  • 3,23 МБ
  • добавлен
  • изменен
Palgrave Macmillan, 2019. — 458 p. — ISBN 978-981-13-7506-4, 978-981-13-7507-1. This book presents the concept of value as the central component to success and longevity of the global ICT industry player, Huawei. It provides examples of how Huawei focuses on customers to pursue sustainable and profitable growth rather than focusing on capital market valuation which is a familiar...
  • №190
  • 1014,95 КБ
  • добавлен
  • изменен
Palgrave Macmillan, 2019. — 458 p. — ISBN 978-981-13-7506-4, 978-981-13-7507-1. This book presents the concept of value as the central component to success and longevity of the global ICT industry player, Huawei. It provides examples of how Huawei focuses on customers to pursue sustainable and profitable growth rather than focusing on capital market valuation which is a familiar...
  • №191
  • 3,54 МБ
  • добавлен
  • изменен
Smashwords, 2014. Most American consumers have unclaimed monthly cash flow that they are currently paying to credit card companies that can be reduced, simply by asking—often via a simple telephone call to their creditors—if they know the rights words to use when they get on the phone. There are simple action steps you can take—today— to both improve your credit rating and reduce...
  • №192
  • 102,84 КБ
  • добавлен
  • изменен
Yale University, 1986. — 390 p. Based on courses developed by the author over several years, this book provides access to a broad area of research that is not available in separate articles or books of readings. Topics covered include the meaning and measurement of risk, general single-period portfolio problems, mean-variance analysis and the Capital Asset Pricing Model, the...
  • №193
  • 2,61 МБ
  • добавлен
  • изменен
A topical and thorough introduction to securities, securities markets and investment strategies, discussing in detail the various ways in which you can minimise risk and maximise yields. * Up-to-date coverage of investment practice and academic research. * Extensive coverage of e-commerce in investments. * Many real-life case studies taken from recent newspaper articles, in...
  • №194
  • 52,60 МБ
  • дата добавления неизвестна
  • изменен
Palgrave Macmillan, 2017. — 423 p. — ISBN 978-3-319-41365-5 This book provides a quantitative overview of corporate risk management for both financial and non-financial organisations. It systematically explores a range of important risks, including interest rate risk, equity risk, commodity price risk, credit risk management, counterparty risk, operational risk, liquidity risk,...
  • №195
  • 8,30 МБ
  • добавлен
  • изменен
USA, New Jersey, Hoboken: John Wiley & Sons, Inc., 2011. How to build a framework for forecasting interest rate market movements With trillions of dollars worth of trades conducted every year in everything from U.S. Treasury bonds to mortgage-backed securities, the U.S. interest rate market is one of the largest fixed income markets in the world. Interest Rate Markets: A Practical...
  • №196
  • 4,23 МБ
  • добавлен
  • изменен
Springer, 2018. — 476 p. — ISBN 978-1493976614. The world of M&A has always been complex and nuanced. Corporations encounter their toughest business problems during a divestiture or a merger. At the same time, optimal execution of divestitures can also create high value for the seller as well as the buyer. This book is a collection of leading practices on Divestitures and covers...
  • №197
  • 9,96 МБ
  • добавлен
  • изменен
Springer, 2018. — 476 p. — ISBN 978-1493976614. The world of M&A has always been complex and nuanced. Corporations encounter their toughest business problems during a divestiture or a merger. At the same time, optimal execution of divestitures can also create high value for the seller as well as the buyer. This book is a collection of leading practices on Divestitures and covers...
  • №198
  • 4,68 МБ
  • добавлен
  • изменен
McGraw-Hill/Irwin – 2011, 768 pages. ISBN: 0073530697, 9780073530697. Your journey to financial freedom starts here! Kapoor/Dlabay/Hughes’ market-leading Personal Finance provides practical guidance on how students can achieve peace of mind with regard to their financial situation. It provides many financial planning tools using a step-by-step approach to help students...
  • №199
  • 71,67 МБ
  • добавлен
  • изменен
Spon Press, 2003. — 304 p. Cash is king, not least in the construction industry. Recent government-commissioned reports have highlighted the importance of better financial management in the construction industry. This professional text provides a considered analysis of the tools and techniques of project financial management in construction; notably it covers cash flow modelling...
  • №200
  • 5,07 МБ
  • добавлен
  • изменен
Prentice Hall, 2012. — 648 p. in color. — 6th ed. — The Series in Finance. — ISBN: 0132719169, 9780132719162 Through the presentation of the Ten Fundamental Principles of Personal Finance, this text empowers students with the knowledge they need to successfully make and carry out a plan for their own financial future. Contents: Financial Planning The Financial Planning...
  • №201
  • 135,82 МБ
  • добавлен
  • изменен
8th ed. — Pearson, 2014. — 549 p. in color — ISBN 0132994879, 9780132994873. Motivate your students to study finance by focusing on its five underlying principles. Foundations of Finance enables students to see the big picture by helping them understand the logic that drives finance rather than having them memorize formulas. The seventh edition now includes "Cautionary Tales," a...
  • №202
  • 18,46 МБ
  • добавлен
  • изменен
Pearson, 2016. — 576 p. — ISBN 978-1292155135. The Five Key Principles for the Foundations of Finance. Foundations of Finance retains its foundational approach to the key concepts of finance, bolstered by real-world vignettes, cases, and problem exercises. Utilizing five principles, which are presented at the beginning of the book and applied throughout, the authors introduce a...
  • №203
  • 25,46 МБ
  • добавлен
  • изменен
10th Edition. The basics of financial management, risk management, capital structure and cost management.
  • №204
  • 39,63 МБ
  • добавлен
  • изменен
CRC Press, 2003. – 837 p. – ISBN: 0824708881, 9780824708887 A resource for administrators seeking innovative ideas and supporting precedents in formulating policy, this book also provides a useful textbook for public administration and policy students. It employs a wealth of case studies in budgeting and financial management to demonstrate strategies in system implementation,...
  • №205
  • 49,69 МБ
  • добавлен
  • изменен
Springer, 2014. — 366 p. — ISBN: 331908268X, 9783319082684 Money-related stress dates as far back as concepts of money itself. Formerly it may have waxed and waned in tune with the economy, but today more individuals are experiencing financial mental anguish and self-destructive behavior regardless of bull or bear markets, recessions or boom periods. From a fringe area of...
  • №206
  • 3,98 МБ
  • добавлен
  • изменен
Albany: State University of New York Press. – 2005. – 328 p. This book chronicles changes in U.S. finance that increased the power of the stock market over corporate life, diverting focus from production to speculative management, the control of corporate actions and results to raise the trading price of corporate shares. This book describes how the speculative logic of the stock...
  • №207
  • 3,36 МБ
  • добавлен
  • изменен
Academic Press, 2017. — 590 p. — ISBN: 978-0-12-805475-8. Strategic Financial Management Casebook strategically uses integrative case studies ― cases that do not emphasize specific subjects such as capital budgeting or value based management ― to provide a framework for understanding strategic financial management. By featuring holistic presentations, the book puts readers into...
  • №208
  • 3,68 МБ
  • добавлен
  • изменен
World Scientific – 2011, 704 pages ISBN: 9814295655, 9789814295659 The Handbook of Microfinance showcases an expansive collection of works from leading academics and field practitioners. In an attempt to understand the enormous gap between the limited number of clients that are currently benefiting from microfinance services, and the huge number of potential clients that are...
  • №209
  • 5,02 МБ
  • добавлен
  • изменен
South-Western College Pub – 2007, 800 pages, 5th edition ISBN: 0324422636, 9780324422634 Follow the Lasher stream to success! Written with students like you in mind, Practical Financial Management is filled with relevant, practical, and easy-to-understand information that covers all of the financial management topics you need to succeed in this course. Author William R. Lasher...
  • №210
  • 10,49 МБ
  • добавлен
  • изменен
Wiley-ISTE, 2018. — 408 p. — ISBN 978-1786301451. This book combines the fundamentals of finance with relevance and effectiveness. It allows for the practice of this subject and covers all the programs of business schools, universities' finance courses, and engineering schools. This book is a relevant tool to acquire all the knowledge required for examination success and the...
  • №211
  • 7,75 МБ
  • добавлен
  • изменен
Wiley, 2016. — 336 p. — ISBN 978-1940235639. This publication will help finance and accounting managers understand and apply a critical set of financial and business management skill sets in order to become more integral contributors to the higher level business activities within their organization. With insight and examples the author will lead you through the strategies and...
  • №212
  • 4,94 МБ
  • добавлен
  • изменен
CRC Press, 2018. — 451 p. — ISBN 978-1-138-03335-1. The proliferation of financial derivatives over the past decades, options in particular, has underscored the increasing importance of derivative pricing literacy among students, researchers, and practitioners. Derivative Pricing: A Problem-Based Primer demystifies the essential derivative pricing theory by adopting a...
  • №213
  • 11,64 МБ
  • добавлен
  • изменен
Cambridge Scholars Publishing, 2016. — 207 p. — ISBN 978-1443885171. Orthodox financial theory often ignores the role played by managers personal characteristics in their decision-making processes. However, as anyone with experience in the business world knows, managers personalities are crucial in the choices they make. Indeed, it should be noted that firms do not make decisions,...
  • №214
  • 1,15 МБ
  • добавлен
  • изменен
Pearson Education – 2010, 420 pages ISBN: 0273727796, 9780273727798 Many people stumble through their financial life reacting to events and advice in an ad hoc way. As a result, few choose the most suitable financial products, some fall prey to misselling and many never realise their financial goals. Are you one of them? Be Your Own Financial Adviser shows you how to make...
  • №215
  • 7,76 МБ
  • добавлен
  • изменен
Random House Trade Paperbacks, 2001. — ISBN 0375758259; ISBN13 9780375758256. In this business classic—now with a new Afterword in which the author draws parallels to the recent financial crisis—Roger Lowenstein captures the gripping roller-coaster ride of Long-Term Capital Management. Drawing on confidential internal memos and interviews with dozens of key players, Lowenstein...
  • №216
  • 12,62 МБ
  • добавлен
  • изменен
Prentice Hall, 2014. — 696 p. in color. — 5th ed. — ISBN: 0132994348, 9780132994347 Directed primarily toward undergraduate finance majors, this text also provides practical content to current and aspiring industry professionals, or anyone interested in learning how to manage their personal finances. Personal Finance takes a hands-on approach to building a financial plan. The...
  • №217
  • 81,17 МБ
  • добавлен
  • изменен
2nd ed. — Cengage Learning, 2011. — 704 p. in color. — ISBN: 1408032295, 9781408032299 This second edition of Madura and Fox's "International Financial Management" provides the ideal introduction to the subject of international finance. It combines the fundamentals of international financial theory with current, practical applications and provides thorough, up-to-date treatment...
  • №218
  • 16,82 МБ
  • добавлен
  • изменен
12th edition. — South-Western College, 2014. — 752 p. Prepare for success in international finance with this best-selling book's effective presentation of in-depth theory and practical applications. International Financial Management, 12E builds on the fundamental principles of corporate finance to provide the timely information and contemporary insights needed to prosper in...
  • №219
  • 22,82 МБ
  • добавлен
  • изменен
13th ed. — Cengage Learning, 2017. — 752 p. — ISBN 9781337099738. Students save money when purchasing bundled products. This bundle contains a loose-leaf version of International Financial Management, 13th, and access to LMS Integrated MindTap Finance for 1 term (6 months) via printed access card. This access code will provide you with seamless access to resources from within your...
  • №220
  • 9,46 МБ
  • добавлен
  • изменен
CIMA Publishing, 2005. — 139 pages. This book has been particularly written with the accountancy and business student in mind. Whether you are a full-time student, a part-time student, a correspondence course student, a practising manager who wants to improve and develop himself, or indeed any-interested in developing learning-to-lcarn skills, this book is for you. It will give...
  • №221
  • 1,01 МБ
  • добавлен
  • изменен
Apress, 2013. — 216 p. — ISBN: 1430265892, 9781430265894 Written in plain English and based on successful client engagements, Data Modeling of Financial Derivatives: A Conceptual Approach introduces new and veteran data modelers, financial analysts, and IT professionals to the fascinating world of financial derivatives. Covering futures, forwards, options, swaps, and forward...
  • №222
  • 9,57 МБ
  • добавлен
  • изменен
Год издания: 2001. Автор: Marc Bertoneche and Rory Knight. Жанр: Financial performance. Язык: Английский. Формат: PDF. Качество: eBook (изначально компьютерное). Количество страниц: 217. Performance Measurement. 1 Review of financial statements 1: The balance sheet. 2 Review of financial statements 2: The income statement and the statement of cash flows. 3 Assessing...
  • №223
  • 1,63 МБ
  • дата добавления неизвестна
  • изменен
Kogan Page, 2012. — 256 p. — ISBN: 0749464674, 9780749464677 An accessible, practical and easy to understand guide, Financial Management for Non-Financial Managers shows managers how to gain confidence in understanding financial matters, managing a budget and dealing with bankers, accountants and finance professionals. A source of expert advice on all the essential aspects of...
  • №224
  • 2,44 МБ
  • добавлен
  • изменен
Днепропетровск: Баланс Бизнес Букс, 2006. - 272 с. Тема данной книги – концепция управления, основанного на стоимости (VBM – value based management). Управление, основанное на стоимости, - это общий термин, обозначающий ряд инструментов управления, используемых для совершенствования деятельности компании с целью повышения акционерной стоимости. Эта концепция является относительно...
  • №225
  • 16,91 МБ
  • дата добавления неизвестна
  • изменен
John Wiley & Sons, 2013. — 606 p. A road map for implementing quantitative financial models Financial Derivative and Energy Market Valuation brings the application of financial models to a higher level by helping readers capture the true behavior of energy markets and related financial derivatives. The book provides readers with a range of statistical and quantitative techniques...
  • №226
  • 12,11 МБ
  • добавлен
  • изменен
Peter Lang, 2016. — 183 p. — ISBN 978-3631671191. Despite the growing importance of funds through corporate bonds, most investigations on the short-term effects of certain events on firm value are only conducted for stocks. Thus, research provides an incomplete view on how firm value is truly affected. The author fills this gap and focuses his research on corporate debt. The first...
  • №227
  • 1,47 МБ
  • добавлен
  • изменен
The Career Press Inc., 2004. — 260 p. — 4th ed. — ISBN: 1564147061, 9781564147066 This book will enable you to tap into the powerful yet simple wealth-building tools the rich use to build and grow their fortunes. Whether you are trying to avoid the common mistakes most investors make, buy your next house, stomp out credit card debt, find the right mutual funds to invest in, or...
  • №228
  • 4,35 МБ
  • добавлен
  • изменен
Wiley, 2010. — 182 p. — ISBN: 0470393335, 9780470393338 An essential guide to corporate finance Understanding corporate finance is a necessity for financial practitioners who struggle every day to find the right balance between maximizing corporate value and reducing a firms financial risk. Divided into two comprehensive parts, Mastering Corporate Finance Essentials presents...
  • №229
  • 2,75 МБ
  • добавлен
  • изменен
Palgrave Macmillan, 2008. – 264 p. – ISBN: 0230006795, 9780230006799 Technology is now, and will remain, at the forefront of innovation in the financial services sector, driving new products and services. It is seen as the only way for many firms to remain in business at all. Many will fail to innovate or invest enough. Already the separation of the larger financial...
  • №230
  • 862,79 КБ
  • добавлен
  • изменен
11th ed. — Pearson, 2017. — 544 p. — ISBN 1292134402. This book is an essential introduction to the world of financing and investment decision making. With a strong real world focus, this text aims to help you bridge the gap between the theories surrounding financial decision making and what happens in the real business world in an accessible, user-friendly way. From the Back...
  • №231
  • 7,28 МБ
  • добавлен
  • изменен
Wiley, 2009. – 280 p. – 3rd ed. – ISBN: 0470414995, 9780470414996 Praise for Streetsmart Financial Basics for Nonprofit Managers, Third Edition "Tom McLaughlin is a proven master at making the daunting concepts of nonprofit financial management clear and engaging. This book is a superb introduction for new nonprofit executives, board members, and students. It is also an...
  • №232
  • 2,51 МБ
  • добавлен
  • изменен
Wiley, 2016. — 240 p. The term “takeover”, of which the first form is mergers and acquisitions (M&A), refers to the transfer of control of a business from one group of shareholders to another. Considering the importance of this issue and the real drives behind takeovers, it has become imperative to identifying companies that are vulnerable to takeover by two types: tender offer...
  • №233
  • 2,25 МБ
  • добавлен
  • изменен
16th Edition. — Wiley, 2017. — 654 р. The Sixteenth Edition of Introduction to Finance: Markets, Investments, and Financial Management is now available as an enhanced e-text with new interactive figures for students. This title builds upon the successes of its earlier editions while maintaining a fresh and up-to-date coverage of the field of finance. Distinguished authors Ron...
  • №234
  • 10,86 МБ
  • добавлен
  • изменен
Wiley, 2010. – 192 p. – ISBN: 1444334778, 1444323849, 9781444334777 Project finance has spread worldwide and includes numerous industrial projects from power stations and waste-disposal plants to telecommunication facilities, bridges, tunnels, railway networks, and now also the building of hospitals, education facilities, government accommodation and tourist facilities....
  • №235
  • 1,32 МБ
  • добавлен
  • изменен
Merrill Lynch, Pierce, Fenner & Smith Inc. , 2003. - 47 h. This Guide to Understanding Financial Reports is an initiative by Merrill Lynch and it’s communication partner, Addison, to provide a clear, practical explanation on how to read and interpret a corporate report. We encourage you to use this resource to help you play a more active and informed role in working with your...
  • №236
  • 264,47 КБ
  • дата добавления неизвестна
  • изменен
Wiley, 2012. – 291 p. – ISBN: 1118170628, 9781118170625 A practical guide to modern financial risk management for both practitioners and academics The recent financial crisis and its impact on the broader economy underscore the importance of financial risk management in today's world. At the same time, financial products and investment strategies are becoming increasingly...
  • №237
  • 4,49 МБ
  • добавлен
  • изменен
Columbia Business School Publishing, 2015. — 368 p. — ISBN-10 0231170548. About the book . The 2008 financial collapse, the expansion of corporate and private wealth, the influence of money in politics―many of Wall Street's contemporary trends can be traced back to the work of fourteen critical figures who wrote, and occasionally broke, the rules of American finance....
  • №238
  • 21,99 МБ
  • добавлен
  • изменен
CRC Press, 2010. — 754 p. — ISBN: 1420090542, 9781420090543 A properly structured financial model can provide decision makers with a powerful planning tool that helps them identify the consequences of their decisions before they are put into practice. Introduction to Financial Models for Management and Planning enables professionals and students to learn how to develop and use...
  • №239
  • 20,77 МБ
  • добавлен
  • изменен
Gower Pub Co., 2012. — 505 p. — ISBN: 1409439828, 9781409439820 "The Principles of Project Finance" reviews the technique of project finance. It explores, step-by-step, the key ingredients of the concept. The book is aimed at a business savvy audience, but one which is not necessarily up to speed on the concept, and has a global reach by covering both OECD countries and the...
  • №240
  • 5,52 МБ
  • добавлен
  • изменен
South-Western College Pub – 2005. 896 pages in color, 10th edition ISBN: 0324289081, 9780324289084 The tenth edition of this successful text provides a comprehensive and contemporary introduction to financial management, focusing on shareholder wealth maximization and cash flow management, the international aspects of financial management, the ethical behavior of managers, and...
  • №241
  • 20,31 МБ
  • добавлен
  • изменен
New York: Alpha Books, 1998. — 321 p. Basics of accounting and financial management for non-financial managers.
  • №242
  • 31,39 МБ
  • добавлен
  • изменен
Wiley, 2019. - 256p. - ISBN: 978-1119501152 The essential resource for navigating the growing direct loan market Private Debt: Opportunities in Corporate Direct Lending provides investors with a single, comprehensive resource for understanding this asset class amidst an environment of tremendous growth. Traditionally a niche asset class pre-crisis, corporate direct lending has...
  • №243
  • 4,84 МБ
  • добавлен
  • изменен
Wiley, 2013. — 528 p. — 978-1119941811. An in-depth explanation of mezzanine finance Mezzanine finance products, which have grown increasingly popular in recent years, involve a unique and complex form of analysis because of their hybrid nature. Because mezzanine finance involves no collateral, it accentuates legal terms, term sheets, and contracts, in addition to depicting...
  • №244
  • 14,89 МБ
  • добавлен
  • изменен
7th Edition. — Health Administration Press, 2018. — 506 p. — ISBN 9781567939040. Financial management challenges are not confined to the CFO s office. Any manager in today s increasingly complex healthcare environment must have a solid grasp of finance fundamentals, and this book provides them. In straightforward language aimed at students and managers outside of finance,...
  • №245
  • 59,92 МБ
  • добавлен
  • изменен
3rd ed. — Routledge, 2015. — 636 p. — ISBN 0415695848. The accounting landscape shifted following the era of global financial crisis and accounting information continues to play a vital role. Philip O’Regan’s authoritative textbook provides readers with the tools and techniques to fruitfully analyse accounting and financial data.
  • №246
  • 2,22 МБ
  • добавлен
  • изменен
Nova Science Publishers, Inc.– 2010, 187 pages ISBN: 1608762793, 9781608762798 Research in economics is increasingly open to empirical results. The advances in behavioural approaches are expanded here by applying cognitive methods to financial questions. The field of cognitive finance is approached by the exploration of decision strategies in the financial settings of...
  • №247
  • 3,40 МБ
  • добавлен
  • изменен
John Wiley & Sons, 2011. — 432 p. This book further expands the Strategy Focused Organization/Balanced Scorecard (SFO/BSC) methodologies of systematically operating and strategically growing an organization by utilizing a comprehensive Corporate Performance Management (CPM) process to continuously innovate any given business platform. Contents Preface. Acknowledgments....
  • №248
  • 4,00 МБ
  • добавлен
  • изменен
John Benjamins Publishing Company, 2014. — 286 p. — ISBN 978-9027211255. This volume systematically investigates the role of argumentation in takeover bids. The announcement of these financial proposals triggers an argumentative situation, in which both the economic desirability and the social acceptability of the deal become argumentative issues for different classes of...
  • №249
  • 2,78 МБ
  • добавлен
  • изменен
Vikas Publishing House, 2018. — 946 p. The book highlights the modern, analytical approach to corporate finance decision-making. Its aim is: • to help readers develop a thorough understanding of the theories and concepts underlying financial management in a systematic way • to make the subject of finance interesting to learn, simple to comprehend and relevant in practice • to help...
  • №250
  • 43,70 МБ
  • добавлен
  • изменен
Springer, 2007. — 235 p. — ISBN 978-3-540-71405-7. When I decided to write this book, I was not fully aware of the reason why I was doing so. During the entire year spent in writing it, however, I had the opportunity to reflect upon its benefits for my professional maturity. First of all, this book has enabled me to write a sort of balance sheet of the first decade I have...
  • №251
  • 2,68 МБ
  • добавлен
  • изменен
New Age International Pvt Ltd Publishers, 2008. — 284 p. Financial management is a core subject which provides unavoidable part of the overall business management. This book adopts a fresh and innovative approach to the study of financial management for the students of B.Com., B.B.A., M.Com., M.B.A. and other professional courses like C.A., ICWA, C.S. The text is presented in...
  • №252
  • 1,18 МБ
  • добавлен
  • изменен
Wiley – 2011, 577 pages ISBN: 0470824905, 9780470824900 The essential guide to financial instruments, logically presented: Fundamentals of Financial Instruments deals with the global financial markets and the instruments in which they trade. While most books on finance tend to be heavily mathematical, this book emphasizes the concepts in a logical, sequential fashion,...
  • №253
  • 1,81 МБ
  • добавлен
  • изменен
World Scientific Pub Co Inc., 2004. - 346 p. Text describes recently developed mathematical models, methodologies, and case studies in diverse areas; including stock market analysis, portfolio optimization, classification techniques in economics, supply chain optimization, development of e-commerce applications, and more. For practitioners.
  • №254
  • 15,40 МБ
  • дата добавления неизвестна
  • изменен
Wiley, 2016. — 442 p. — ISBN 978-1119286547. Simplify and streamline your way to a winning legacy. Winning CFOs is a hybrid handbook and toolkit with over 100 lean practice solutions and a wealth of practical tools for senior financial managers of small, midsized and large companies. This book outlines the mindset of paradigm shifters relevant to future-ready finance teams, and...
  • №255
  • 4,13 МБ
  • добавлен
  • изменен
Wiley – 2011, 784 pages ISBN: 0470876441, 9780470876442 Parrino, Kidwell & Bates, Fundamentals of Corporate Finance 2nd Edition is a balanced approach to the main theme of value creation balanced by risk management. The goal of this text is to provide both intuitive and calculation based- to master content. Material is organized from the most concrete to the most abstract...
  • №256
  • 19,24 МБ
  • добавлен
  • изменен
Wiley, 2015. — 688 pages — ISBN: 1118997549 The comprehensive guide to mergers, acquisitions, and corporate restructurings Mergers, Acquisitions, and Corporate Restructurings is an all-inclusive guide to M&As that illustrates how restructuring can be used successfully, how each form works, and the laws that govern them. This updated edition includes the latest statistics,...
  • №257
  • 5,26 МБ
  • добавлен
  • изменен
Springer, 2016. — 107 p. — ISBN 978-3319283098. This book explains the standard Real Options Analysis (ROA) literature in a straightforward, step by step manner without the use of complex mathematics. A lot of ROA literature is described through partial differential equations, probability density functions and simulation techniques, all of which may be unconvincing in the...
  • №258
  • 2,88 МБ
  • добавлен
  • изменен
Wiley, 2004. — 894 p. — 2nd ed. — ISBN: 0471477613, 9780471477617 A comprehensive guide to understanding the world of financial management and analysis. This complement to the bestselling Financial Management and Analysis allows readers to self-test their understanding before applying the concepts to real-world situations. Pamela P. Peterson, PhD, CPA (Tallahassee, FL), is...
  • №259
  • 18,40 МБ
  • добавлен
  • изменен
Prentice Hall – 2008, 600 pages, 2nd edition ISBN: 0135017114, 9780135017111 This book takes general business accounting and financial principles as well as engineering economics and adapts them to the unique characteristics of the construction industry. It provides all of the key financial management principles needed by construction managers under one cover, addressing how...
  • №260
  • 3,09 МБ
  • добавлен
  • изменен
Wiley, 2014. — 450 p. — ISBN: 9781118674543 The private equity industry has grown dramatically over the past twenty years. Such investing requires a strong technical know-how in order to turn private investments into successful enterprises. That is why Paul Pignataro has created Leveraged Buyouts + Website: A Practical Guide to Investment Banking and Private Equity. Engaging...
  • №261
  • 17,72 МБ
  • добавлен
  • изменен
6th edition. — Financial Times, 2008. — 824 p. — ISBN: 027371550X, 9780273715504. Corporate Finance and Investment develops, explains and above all applies key concepts and techniques in finance to a broad range of contemporary management and business policy concerns and challenges. Understand the importance of the financial decision-making process in business today, with the...
  • №262
  • 10,93 МБ
  • добавлен
  • изменен
Под ред. Р. Пайк, N-Y: Financial Times, 2007 - 787 С. Базовый учебник по корпоративным финансам, рекомендованный к изучению в рамках курса "Корпоративные финансы - 1" (магистерские программы "Финансовая экономика", "Корпоративные финансы и оценка инвестиций", "Финансовый аналитик"). Содержание: Современная среда финансового менеджмента. Финансовая математика. Стоимость...
  • №263
  • 15,50 МБ
  • дата добавления неизвестна
  • изменен
Hoboken: Wiley, 2017. — 129 p. Apply practical derivatives knowledge to truly test your understanding Derivatives Workbook offers practical instruction for students and professionals seeking additional guidance on working with derivatives instruments. Created by CFA Institute as a companion to the comprehensive Derivatives text, this book helps you practice using what you've...
  • №264
  • 4,61 МБ
  • добавлен
  • изменен
Wiley, 2017. — 624 p. — (CFA Institute Investment Series). — ISBN 978-1-119-38181-5. The complete guide to derivatives, from the experts at the CFA Derivatives is the definitive guide to derivatives, derivative markets, and the use of options in risk management. Written by the experts at the CFA Institute, this book provides authoritative reference for students and investment...
  • №265
  • 7,41 МБ
  • добавлен
  • изменен
Apress, 2015. — 136 p. — ISBN: 9781484207321 Financial Ratios for Executives is written specifically with today’s global executive in mind. It makes financial ratios easy to understand and use effectively. This short book will prove invaluable to both financial and non-financial executives looking for easy, intuitive methods to assess corporate health and assist in strategic...
  • №266
  • 1,33 МБ
  • добавлен
  • изменен
Springer, 2009. — 416 p. — ISBN 978-3642089954. This book offers a comprehensive analysis of private equity divestment processes--so-called exits--for European buyouts. Examining the efficiency of exits, it offers recommendations and guidelines for an integrated and exit-oriented private equity portfolio management. In addition, the book provides a detailed assessment of exit...
  • №267
  • 4,14 МБ
  • добавлен
  • изменен
As soon as a firm starts operating, and especially once it starts to grow, it needs to come to a decision about how to invest funds, how much cash and inventory to maintain, how much financing to provide to customers, how to obtain the necessary funds, and how much debt to take on and in which terms-all the answers to these questions have serious consequences for a firm's cash...
  • №268
  • 1,09 МБ
  • добавлен
  • изменен
Springer, 2010. - 216 p. Part of Tsinghua University Texts, Financial Strategies for the Manager includes a range of financial management issues such as financial statement analysis, a systematic approach to financial performance appraisal, liquidity management and sales growth, working capital management, budgeting, foreign exchange and interest rate risk management, and a...
  • №269
  • 2,01 МБ
  • дата добавления неизвестна
  • изменен
Springer, 2013. — 344 p. 25 illus., 20 illus. in color. — ISBN: 146149172X, 9781461491729 Applied Corporate Finance fills a gap in the existing resources available to students and professionals needing an academically rigorous, yet practically orientated, source of knowledge about corporate finance. Written by an expert in investment analysis, this textbook leads readers to...
  • №270
  • 3,04 МБ
  • добавлен
  • изменен
Packt Publishing Ltd. – 2011, 324 pages ISBN 978-1-849513-86-9 Attention, small business owners! Stop tax-day stress. Stop procrastinating with a shoebox full of receipts. Stop reinventing the wheel with a spreadsheet. Stop making decisions simply on a hunch. Stop wasting money on software that is overkill. Start by downloading GnuCash and getting your accounts in order....
  • №271
  • 6,92 МБ
  • добавлен
  • изменен
IGI Global, 2007. – 317 p. – ISBN: 1599041715, 9781599041711 While advances in information technology and the adoption of Internet as service delivery channels have enabled financial service institutions to provide more convenient assistance, they have diversified and complicated the nature of risks involved.Managing Information Assurance in Financial Services provides...
  • №272
  • 5,53 МБ
  • добавлен
  • изменен
New Age International, 2006. – 625 p. – ISBN: 8122423256, 8122418899 The book is written in a simple and lucid style. At the end of the each chapter, a few theoretical questions and exercises are given to test the understanding ability of students. This book meets the requirements of S.C.A. and M.e .A. students and other technical courses in management. Contents:...
  • №273
  • 3,18 МБ
  • добавлен
  • изменен
John Wiley & Sons Inc., 2003, - 299 pages. Process Improvement for Effective Budgeting and Financial Reporting combines methodologies and systems from general business process improvement and business reengineering theories and applies them specifically to budgeting and reporting processes. Our goal for this book is to help you to be realistic about the outcomes you can deliver...
  • №274
  • 1,69 МБ
  • добавлен
  • изменен
Routledge – 2008, 936 pages ISBN: 0415428599, 9780415428590 In this book, the author draws from finance, psychology, economics, and other disciplines in business and the social sciences, recognising that personal finance and investments are subjects of study in their own right rather than merely branches of another discipline. Considerable attention is given to topics which...
  • №275
  • 5,67 МБ
  • добавлен
  • изменен
2nd edition. — Wiley, 2003. — 361 p. Focusing on the tangible, cash flow operations that make business work. In business, there are pie-in-the-sky valuation standards like share prices and stock options that have alternately led executives to untold riches and to federal prisons. and then there is cold hard cash-the dollars and cents that pay the bills, keep the tax man at bay,...
  • №276
  • 1,44 МБ
  • добавлен
  • изменен
Elsevier, 2007. — 519 p. Real options theory has attracted significant interest in the field of strategic management. Advocates of the approach emphasize that importing concepts from financial economics holds out the potential of yielding new insights on strategic decision-making under uncertainty as well as boundary-of-the-firm issues that are the focus of competitive and...
  • №277
  • 2,81 МБ
  • добавлен
  • изменен
Оригинальная аннотация: "Книга раскрывает перед начинающими финансистами интригующий мир самых крупных рынков капитала - рынков иностранной валюты (FOREX). Она дает ясное представление о том, зачем нужны эти рынки и как они работают, знакомит с профессиональным жаргоном. В этой книге детально рассмотрены инструменты денежного и валютного рынков, показано, какие параметры...
  • №278
  • 8,07 МБ
  • дата добавления неизвестна
  • изменен
Kogan Page – 2010, 224 pages ISBN: 0749459786, 9780749459789 In the best economic circumstances, effective credit management can be a challenge for many businesses; in tough times, it can become a critical operational factor that can threaten to make or break an otherwise healthy business. "The Business Guide to Credit Management" offers new insights into cash management,...
  • №279
  • 4,35 МБ
  • добавлен
  • изменен
3rd ed. — Palgrave Macmillan, 2016. — 238 p. — ISBN: 1349351997, 9781349351992, EISBN: 9780230392687 Updated and revised, the third edition frames strategy as delivering firm value in both the short and long term while maintaining a sustainable competitive advantage. These issues are examined through industry evolution, the rise of the information economy, financial analysis,...
  • №280
  • 5,18 МБ
  • добавлен
  • изменен
11th ed. — McGraw-Hill, 2015. — 1008 p. — ISBN 0077861701. The best-selling Fundamentals of Corporate Finance (FCF) has three basic themes that are the central focus of the book: 1) An emphasis on intuition―the authors separate and explain the principles at work on a common sense, intuitive level before launching into any specifics. 2) A unified valuation approach―net present...
  • №281
  • 35,78 МБ
  • добавлен
  • изменен
11th ed. — McGraw-Hill, 2015. — 1008 p. — ISBN 0077861701. The best-selling Fundamentals of Corporate Finance (FCF) has three basic themes that are the central focus of the book: 1) An emphasis on intuition―the authors separate and explain the principles at work on a common sense, intuitive level before launching into any specifics. 2) A unified valuation approach―net present...
  • №282
  • 37,01 МБ
  • добавлен
  • изменен
11th ed. — McGraw-Hill/Irwin, 2015. — 1056p. - ISBN: 978-0077861759 Corporate Finance, by Ross, Westerfield, Jaffe, and Jordan emphasizes the modern fundamentals of the theory of finance, while providing contemporary examples to make the theory come to life. The authors aim to present corporate finance as the working of a small number of integrated and powerful intuitions, rather...
  • №283
  • 48,25 МБ
  • добавлен
  • изменен
9th Edition. – McGraw-Hill International, 2011. – 550 р. Contains answers to concepts review and critical thinking questions as well as solutions to the problems highlighted in the text book Stephen A. Ross, Randolph W. Westerfield, Jeffrey F. Jaffe, Corporate Finance 9th Ed.
  • №284
  • 4,56 МБ
  • добавлен
  • изменен
7th. Canadian ed. — McGraw-Hill Ryerson, 2015. — 1069 p. — ISBN 978-0071339575. Corporate Finance meets the needs of the introductory corporate finance course at the MBA level, or the introductory course that wants very comprehensive coverage. The text emphasizes the modern fundamentals of the theory of finance while providing contemporary examples to make the theory come to life....
  • №285
  • 15,73 МБ
  • добавлен
  • изменен
8th Edition. — McGraw-Hill/Irwin, 2006. — 926 p. — ISBN-13 978-0073337180; ISBN-10 0073337188. сканированная книга, ч/б Corporate Finance, by Ross, Westerfield, and Jaffe is a popular textbook that emphasizes the modern fundamentals of the theory of finance, while providing contemporary examples to make the theory come to life. The authors aim to present corporate finance as...
  • №286
  • 138,14 МБ
  • добавлен
  • изменен
9th ed. — McGraw-Hill Education, 2016. — 688 p. — ISBN 978-1259277214. Essentials of Corporate Finance by Ross, Westerfield, and Jordan is written to convey the most important concepts and principles of corporate finance at a level that is approachable for a wide audience. The authors retain their modern approach to finance, but have distilled the subject down to the essential...
  • №287
  • 48,07 МБ
  • добавлен
  • изменен
O'Reilly Media, 2010. — 336 p. — ISBN: 0596809409, 9780596809409 Keeping your financial house in order is more important than ever. But how do you deal with expenses, debt, taxes, and retirement without getting overwhelmed? This book points the way. It's filled with the kind of practical guidance and sound insights that makes J.D. Roth's GetRichSlowly.org a critically acclaimed...
  • №288
  • 11,43 МБ
  • добавлен
  • изменен
Wiley, 2015. — 353 p. — ISBN 978-1119003304. The Heston Model and Its Extensions in VBA is the definitive guide to options pricing using two of the derivatives industry's most powerful modeling tools — the Heston model, and VBA. Light on theory, this extremely useful reference focuses on implementation, and can help investors more efficiently — and accurately — exploit market...
  • №289
  • 42,87 МБ
  • добавлен
  • изменен
John Wiley & Sons, Inc., 2002. – 272 pages. Contents: The First Step: Approving the Credit The Second Step: Billing The Third Step: Collecting the Money Accounts Receivable Issues Handling Deduction Issues Interacting with Sales and Marketing Customer Relations and Customer Visits Letters of Credit and Other Security Interests Legal Considerations Surrounding...
  • №290
  • 1,68 МБ
  • добавлен
  • изменен
Springer, 2019. — 96 p. — ISBN 3030046834. This book uses the building blocks of modern capital market theory, including behavioural finance, as the point of departure for an analysis of hidden ethical content in the contemporary research into capital markets. It illustrates the significant degree of alienation between the financial and the real side of economies, stemming from...
  • №291
  • 2,88 МБ
  • добавлен
  • изменен
Springer, 2015. — 245 p. — ISBN: 9783319151342, 9783319151359 This book examines cost-of-capital models and their application in the context of managerial finance. This includes the use of hurdle rates in capital allocation decisions, as well as target returns in performance management. Besides a review of classical finance models such as the Capital Asset Pricing Model (CAPM),...
  • №292
  • 7,47 МБ
  • добавлен
  • изменен
Springer, 2010. — 456 p. — ISBN: 364201352X, 9783642013539 For successful innovation in business the responsible managers need a consistent view of the individual processes as well as an assessment of key projects in all phases of the development. Generating new ideas, fast examination of its feasibility requires skilled methods for evaluation of these ideas, plans and...
  • №293
  • 4,79 МБ
  • добавлен
  • изменен
Springer, 2018. — 496 p. — ISBN 978-3-319-75761-2. This book is a guide to how financial steering is designed, measured and implemented with a special focus on the energy industry. The authors offer an overview of and practical insights into the links between financial steering and accounting, and the temporary cycles of investment, divestment, return and loss, market highs and...
  • №294
  • 12,88 МБ
  • добавлен
  • изменен
Springer, 2012. — 245 p. — ISBN: 3658006951, 9783658006969 Based on a very extensive literature review the book delineates the previous scientific and practical applications of indices as benchmarks for single asset classes as stocks, commodities, German governmental bonds and cash as well as especially for multi asset portfolios. According to the specific influencing factors...
  • №295
  • 1,82 МБ
  • добавлен
  • изменен
Morgan Kaufmann, 2014. — 254 p. — ISBN: 0124166903, 9780124166905 This book serves to formalize the commercial and logistical principles that accommodate the successful application of the freemium business model, both in the abstract and within the context of software development. This book is not a product development guide; it does not prescribe a certain set of actions or...
  • №296
  • 10,01 МБ
  • добавлен
  • изменен
Apress, 2014. — 475 p. — ISBN: 1430262745, 9781430262749. Managing Derivatives Contracts is a comprehensive and practical treatment of the end-to-end management of the derivatives contract operations, systems, and platforms that support the trading and business of derivative products. This book focuses on the processes and systems in the derivatives contract life cycle that...
  • №297
  • 6,86 МБ
  • добавлен
  • изменен
Wiley, 2013. — 728 p. in color — 10th ed. — ISBN: 1118572386, 9781118572382 Multinational Financial Management, 10th Edition provides corporate managers with a conceptual framework within which the key financial decisions of the multinational firm can be analyzed. It contains charts and illustrations of corporate practice that are designed to highlight specific techniques....
  • №298
  • 7,77 МБ
  • добавлен
  • изменен
Foreign exchange administration, International business enterprises-Finance, 1998. — 332 р. Introduction. The Problem with Foreign Currency . Foreign Currency Management. Hedging a Dutch Guilder Exposure. Is Hedging the Answer? Conclusion. What Is a Currency, Really? . What Is a Currency? The Evolving U.S. Dollar. Gold. Eurocurrency. Currency As a Commodity....
  • №299
  • 1,22 МБ
  • добавлен
  • изменен
Springer, 2018. — 569 p. — ISBN 10 3319994557, 13 978-3319994550. In this book, the world's foremost experts on pricing integrate theoretical rigor and practical application to present a comprehensive resource that covers all areas of the field. This volume brings together quantitative and qualitative approaches and highlights the most current innovations in theory and practice....
  • №300
  • 9,53 МБ
  • добавлен
  • изменен
New Age International, 2007. – 236 p. – ISBN: 8122425488, 9788122425482 This book has been written with a specific aim i.e., to cater to the needs of I.T. professionals (especially MCA students) of U.P. Technical University as well as other universities also. I.T. comprises of Hardware part, Software part, and Information part. When we talk of business application software, we...
  • №301
  • 1,01 МБ
  • добавлен
  • изменен
Wiley, 2016. — 272 p. — ISBN 978-1940235127. Chances are you’re looking to buy, sell, or merge your CPA firm. Owners at firms of all sizes are seeking solutions to fund retirements or grow their practices. And, CPA firm M&A activity is only going to increase in the coming years—new deals are announced almost daily. Fortunately, there are steps you can take right now to position...
  • №302
  • 3,55 МБ
  • добавлен
  • изменен
Palgrave Macmillan, 2015. — 391 p. — ISBN 9781349493227, 9781137435613. This book integrates corporate governance, corporate finance and accounting to formulate sound financial management strategies. It offers practical steps for managers using an integrated optimisation financial model to achieve good corporate governance practices which lead to lower risks and higher firm value....
  • №303
  • 5,22 МБ
  • добавлен
  • изменен
SAGE Publications, 2005. — 312 p. The examples of activity-based costing (ABC), the balanced scorecard and business process re-engineering (BPR) most readily spring to mind. Numerous examples of failed implementations of such schemes are to be found in the practitioner literature, often when the powers of persuasion of the consultant have overcome the evidence available from...
  • №304
  • 2,14 МБ
  • добавлен
  • изменен
Wiley, 2015. — 209 p. — ISBN: 9781118413999, EISBN: 9781118413968, 9781118413982 Robust management of liquidity risk within the changing regulatory framework Liquidity Management applies current risk management theory, techniques, and processes to liquidity risk control and management to help organizations prepare in case of future economic crisis and changing regulatory...
  • №305
  • 1,84 МБ
  • добавлен
  • изменен
Gallery Books, 1998. — 258 p. — ISBN 0671015206; ISBN13 9780671015206 Literary Awards - Independent Publisher Book Award (IPPY) Nominee for Business (Finalist) (1997) The incredible national bestseller that is changing people's lives -- and increasing their net worth! Can you spot the millionaire next door? Who are the rich in this country? What do they do? Where do they shop?...
  • №306
  • 15,81 МБ
  • добавлен
  • изменен
McGraw-Hill – 2010, 304 pages ISBN: 0071741658, 9780071741651 Combining the new field of behavioral finance with the real world of investing, this engaging new book explores the mind-sets and motivations behind the major money decisions-and most common mistakes—that investors make every day. With insider's insight, and a storyteller's voice, behavioral finance expert Meir...
  • №307
  • 2,41 МБ
  • добавлен
  • изменен
Sixth Edition. – McGraw-Hill International, 2008. – 656 р. ISBN: 0073405132 сканированная книга, ч/б Essentials of Corporate Finance, 6/e by Ross, Westerfield, and Jordan is written to convey the most important concepts and principles of corporate finance at a level that is approachable for a wide audience. The authors retain their modern approach to finance, but have...
  • №308
  • 40,72 МБ
  • добавлен
  • изменен
6th edition. - New York: McGraw-Hill, 2003. -966p. - ISBN: 0073134295. Overview of Corporate Finance. Financial Statements and Long−Term Financial Planning. aluation of Future Cash Flows. Capital Budgeting. Risk and Return. Cost of Capital and Long−Term Financial Policy. Short−Term Financial Planning and Management. Topics in Corporate Finance.
  • №309
  • 10,01 МБ
  • дата добавления неизвестна
  • изменен
CRC Press, 2001. — 280 p. — ISBN: 1574443011, 9781574443011 If you knew exactly how much money you would need at retirement, you could figure out how much risk you'd have to take to get there. You could stop focusing on finding the next hot investment and set about building your overall net worth. You'd develop a plan to manage your existing assets and future resources to meet...
  • №310
  • 5,02 МБ
  • добавлен
  • изменен
McGraw-Hill Education, 2013. — 832 p. — 11th ed. — ISBN: 0078110963, 9780078110962. Financial Statement Analysis, 11e, emphasizes effective business analysis and decision making by analysts, investors, managers, and other stakeholders of the company. It continues to set the standard in showing students the keys to effective financial statement analysis. The textbook is set up in...
  • №311
  • 13,78 МБ
  • добавлен
  • изменен
McGraw-Hill/Irwin – 2008, 784 pages, 10 edition ISBN: 00733794332, 9780073379432 Financial Statement Analysis, 10e, emphasizes effective business analysis and decision making by analysts, investors, managers, and other stakeholders of the company. It continues to set the standard in showing students the keys to effective financial statement analysis. The textbook is set up in...
  • №312
  • 14,48 МБ
  • добавлен
  • изменен
Bookboon, 2016. — 223 p. — ISBN 978-87-403-1363-5. This book is partly based on lectures the authors give at Sheffield Business School, Sheffield Hallam University between 2010- 2015. It is an exploratory guide to business analysis. It aims to develop foundation knowledge on the techniques behind data analysis and decision making based on information derived from data analysis. It...
  • №313
  • 4,25 МБ
  • добавлен
  • изменен
Wiley, 2018. — 169 p. — (Wiley Finance Series). — ISBN 978-1-119-38065-8. The definitive guide to capital markets regulatory compliance Governance, Compliance, and Supervision in the Capital Markets demystifies the regulatory environment, providing a practical, flexible roadmap for compliance. Banks and financial services firms are under heavy regulatory scrutiny, and must...
  • №314
  • 1,58 МБ
  • добавлен
  • изменен
3rd edition. — Butterworth-Heinemann, 2015. — 336 p. — ISBN 978-0081005873. Practical Financial Modelling, 3e is a book on model development and model assurance. It enhances the modelling process by emphasizing controls and checks for accuracy and reliability. New content on validation and verification, model use and sensitivity analysis is presented alongside a modelling...
  • №315
  • 22,87 МБ
  • добавлен
  • изменен
Wiley, 2010. – 243 p. – ISBN: 9781576603666 An accessible guide that outlines the key elements of an effective financial plan From Larry Swedroe, the author of the bestselling series of "The Only Guide" investment books, with Kevin Grogan and Tiya Lim comes a step-by-step handbook that shows you how to develop a winning personal investment strategy and reveals what it takes...
  • №316
  • 1,67 МБ
  • добавлен
  • изменен
Wiley, 2012. — 360 p. — (For Dummies). — ISBN 978-1118412794. Score your highest in corporate finance. The math, formulas, and problems associated with corporate finance can be daunting to the uninitiated. Corporate Finance For Dummies introduces you to the practices of determining an operating budget, calculating future cash flow, and scenario analysis in a friendly,...
  • №317
  • 2,39 МБ
  • добавлен
  • изменен
Под ред. Дж. Теннет, The Economist: 2005 На основе опубликованных статей различных авторов издательский дом журнала The Economist сформировал краткое и лаконичное учебное пособие по основам финансового менеджмента. В состав издания входят 16 частей - описание бизнес-структур, основ финансовой отчётности, стоимости капитала, операционный рычаг, портфельный менеджмент и т. д....
  • №318
  • 1,61 МБ
  • дата добавления неизвестна
  • изменен
3rd Edition. — Economist Newspaper Ltd., 2018. — 280 p. — ISBN 1610399994. A practical and accessible overview of the fundamentals of business finance-now in its third edition. Managers are constantly expected to make decisions that reflect a full understanding of the financial consequences. In the absence of formal training, few people are prepared for the responsibilities of...
  • №319
  • 13,10 МБ
  • добавлен
  • изменен
Palgrave Macmillan, 2016. — 352 p. This book provides a thorough overview of the recent financial crisis from the perspective of both industry practitioners and academics specialising in the area. Introduction A Retrospective on the Great Recession: Causes, Effects and Prospects European Public Finances through the Crisis ECB Monetary Policy and the Euro during the...
  • №320
  • 2,69 МБ
  • добавлен
  • изменен
Harvard Business School, Nov.20, 2009. — 11 с. A common approach to valuing a business is to discount its expected future cash flow at its cost of capital. This note explains how to compute the cost of capital for such an analysis. It consist of three sections: 1st is focused on the financial economics of the problem; 2nd on practical considerations related to calculations; 3d...
  • №321
  • 273,82 КБ
  • добавлен
  • изменен
2nd ed. — Euromoney Institutional Investor, 2014. — 436 p. — ISBN: 1781372640, 9781781372647 This second edition is an indispensable guide to the risks encountered in a project financing. Highly practical rather than thematic or theoretical, the book first defines each and every risk (16) and then organises the 180 structures that might be applied accordingly. It also contains...
  • №322
  • 3,02 МБ
  • добавлен
  • изменен
Под ред. Tirole J. ; Princeton University Press and Oxford Press, 2006. — 657 с. Издание соответствует курсу "Корпоративные финансы-2" и является базовым для финансовой магистратуры РЭШ и магистратуры "Стратегическое управление финансами фирмы" ВШЭ. Целевые функции фирм: максимизация акционерной стоимости или максимизация богатства стейкхолдеров. Структура капитала компании....
  • №323
  • 3,90 МБ
  • дата добавления неизвестна
  • изменен
5th Edition. John Wiley & Sons, Inc., 1999. – 192 pages. Contents: Starting with Cash Flows Introducing the Balance Sheet and Income Statement Profit Isn't Everything Sales Revenue and Accounts Receivable Cost of Goods Sold Expense and Inventory Inventory and Accounts Payable Operating Expenses and Accounts Payable Operating Expenses and Prepaid Expenses Fixed...
  • №324
  • 4,10 МБ
  • добавлен
  • изменен
Wiley, 2014. — 354 p. — 8th ed. — ISBN: 9781118735718 Financial reports provide vital information to investors, lenders, and managers. Yet, the financial statements in a financial report seem to be written in a foreign language that only accountants can understand. This comprehensive version of How to Read a Financial Report breaks through that language barrier, clears away the...
  • №325
  • 1,18 МБ
  • добавлен
  • изменен
Wiley, 2018. — 386 p. — ISBN: 978-1-119-48609-1. Raise the skill and competency level of project finance organizations Project Finance for Business Development helps readers understand how to develop a competitive advantage through project finance. Most importantly, it shows how different elements of project finance, such as opportunity screening and evaluation, project...
  • №326
  • 4,04 МБ
  • добавлен
  • изменен
Navyug Publishers & Distributors, 2008. – 280 p. – ISBN: 8190694057, 9788190694056 This book is designed to help officials and representatives of people's organizations and movements who want to facilitate the process of audit and finance. This book aescribes characteristics of auditing and finance management. It also describes the relationship between the finance management...
  • №327
  • 10,23 МБ
  • добавлен
  • изменен
6th edition. 2010 Wiley Publishing, Inc. 482 pages. ISBN: 978-0-470-50693-6 Eric Tyson is an internationally acclaimed and best-selling personal finance book author, syndicated columnist, and speaker. He has worked with and taught people from all financial situations, so he knows the financial concerns and questions of real folks just like you. Despite being handicapped by...
  • №328
  • 3,44 МБ
  • добавлен
  • изменен
Wiley, 2016. — 460 p. — ISBN: 9781119114291; EISBN: 9781119114178, 9781119114130 Understand personal finance and put your money to work! Is your money working to increase your wealth? If not, it's time to take stock of your financial situation. Personal Finance For Dummies, 8th Edition offers time-tested financial tips and advice on how to continue to grow your financial...
  • №329
  • 1,54 МБ
  • добавлен
  • изменен
Wiley, 2016. — 460 p. — ISBN: 9781119114291; EISBN: 9781119114178, 9781119114130 Understand personal finance and put your money to work! Is your money working to increase your wealth? If not, it's time to take stock of your financial situation. Personal Finance For Dummies, 8th Edition offers time-tested financial tips and advice on how to continue to grow your financial...
  • №330
  • 6,61 МБ
  • добавлен
  • изменен
John Wiley & Sons, 2011. — 264 p. — (For Dummies). — ISBN: 047076905X, 9780470769058. The easy way to avoid early pitfalls on the road to financial success A little money and a little time is all that's needed to lay a strong financial foundation for today and the future. And starting sooner rather than later is the smartest thing you can do when it comes to protecting your...
  • №331
  • 4,38 МБ
  • добавлен
  • изменен
9th Ed. — John Wiley & Sons, Ltd., 2018. — 499 p. — (Personal Finance for Dummies). — ISBN 10 1119517893, 13 978-1119517894. Take stock of your financial situation From budgeting, saving, and reducing debt, to making timely investment choices and planning for the future, Personal Finance For Dummies provides fiscally conscious readers with the tools they need to take charge of...
  • №332
  • 9,62 МБ
  • добавлен
  • изменен
Springer, 2015. — 343 p. — ISBN: 9783658072582, 9783658072599 Risk budgeting models set risk diversification as objective in portfolio allocation and are mainly promoted from the asset management industry. Albina Unger examines the portfolios based on different risk measures in several aspects from the academic perspective (Utility, Performance, Risk, Different Market Phases,...
  • №333
  • 3,78 МБ
  • добавлен
  • изменен
Financial Times/ Prentice Hall, 2006. – 335 p. – 5th ed. – ISBN: 0273705032, 9780273705031 This fully revised and updated guide is an essential reference for anyone who wants to read and really understand the financial pages. It explains where and when to find the critical information, and how to make the best use of the full range of financial and economic data available,...
  • №334
  • 23,68 МБ
  • добавлен
  • изменен
Springer, 2017. — 435 p. — ISBN 978-981-10-3463-3. This book explains the theoretical and policy issues associated with the taxation of financial services and includes a jurisdictional overview that illustrates alternative policy choices and the legal consequences of those choices . The book addresses the question: how can financial services in an increasingly globalized market...
  • №335
  • 4,45 МБ
  • добавлен
  • изменен
Wiley, 2013. – 775 p. – ISBN: 1118278542, 9781118278543. Practical tools and advice for managing financial risk, updated for a post-crisis world. Advanced Financial Risk Management bridges the gap between the idealized assumptions used for risk valuation and the realities that must be reflected in management actions. It explains, in detailed yet easy-to-understand terms, the...
  • №336
  • 14,21 МБ
  • добавлен
  • изменен
13th edition. — Pearson Education, Prentice-Hall, 2008. — 744 p. — ISBN: 978-0-273-71363-0. Financial management continues to change at a rapid pace. Advancements are occurring not only in the theory of financial management but also in its real-world practice. One result has been for financial management to take on a greater strategic focus, as managers struggle to create value...
  • №337
  • 8,58 МБ
  • добавлен
  • изменен
5th ed. — Wiley, 2017. — 1008 p. — ISBN ISBN-13: 978-1119424482. Corporate Finance: Theory and Practice continues to hold sway as one of the most popular financial textbooks available, thanks to its four unique features: A balanced blend of theory and practice: the authors hold academic positions at top-ranking universities and business schools and are also financial managers,...
  • №338
  • 10,43 МБ
  • добавлен
  • изменен
5th ed. — Wiley, 2017. — 1008 p. — ISBN ISBN-13: 978-1119424482. Corporate Finance: Theory and Practice continues to hold sway as one of the most popular financial textbooks available, thanks to its four unique features: A balanced blend of theory and practice: the authors hold academic positions at top-ranking universities and business schools and are also financial managers,...
  • №339
  • 13,50 МБ
  • добавлен
  • изменен
Wiley, - 2011. - 516 с. ISBN: 111997755X Авторы: Pierre Vernimmen, Pascal Quiry, Antonio Salvi, Maurizio Dallocchio and Yann LeFur Качество: Электронный документ From the team behind the popular corporate finance website, Vernimmen.com comes a concise guide to the subject, presented in an easy-to-use, highly accessible "question and answer" format. An essential reference for...
  • №340
  • 3,52 МБ
  • добавлен
  • изменен
SAGE Publications, 2004. — 352 p. This book clearly describes what a balanced and integrated approach towards performance management is all about. The Integrated Performance Management Framework is really integrated, and it allows us to position other management frameworks in a new, holistic context. It provides a very good reference base for all our activities and performance...
  • №341
  • 3,60 МБ
  • добавлен
  • изменен
2nd Ed. (2007) 764 стр. - capital investments. - managing current assets. - the financing decision. - devidend policy. - financial policy, competitive strategy and shareholders value.
  • №342
  • 4,48 МБ
  • дата добавления неизвестна
  • изменен
Springer, 2015. — 134 p. — (BestMasters). — ISBN: 9783658066338, 9783658066345 Investors are trying to generate excess returns through active investment strategies. Since the outbreak of the financial crisis, investors face a situation where increased risks are accompanied by falling key interest rates. An optimal portfolio in terms of risk and return becomes a perpetual motion...
  • №343
  • 5,90 МБ
  • добавлен
  • изменен
John Wiley & Sons, Ltd, 2019. — 419 p. — (For Dummies). — ISBN 10 111952752X, 13 978-1119527527. Aspiring international real estate investors-expand your portfolio today! The real estate world can be a particularly difficult place to do business, and this book helps aspiring international investors of all skill levels avoid some of the pitfalls first-timers often make. Expert...
  • №344
  • 1,52 МБ
  • добавлен
  • изменен
FT Press – 2009, 416 pages, 4th Edition ISBN: 0273707310, 9780273707318 Business ratios are the figures that provide management with targets and standards for their organisation. They direct businesses towards the most beneficial long-term strategies, as well as towards effective decision making. This book enables managers of different functions to work together towards...
  • №345
  • 2,21 МБ
  • добавлен
  • изменен
London: Prentice Hall, 2003. - 374 p. ISBN: 0 273 66345 3. The subject of corporate finance is explored in a hundred books, most of. which have a formidable and forbidding aspect to them. They contain. page after page of dense text interspersed with complex equations and. obscure terminology. The sheer volume of material and its method of presentation suggests. that this is...
  • №346
  • 1,60 МБ
  • дата добавления неизвестна
  • изменен
M.E. Sharpe, 2006. – 216 p. – ISBN: 0765616777, 9780765616777 Thoroughly classroom tested, this comprehensive text provides a step-by-step guide to how to use financial management and budgeting tools in the public sector. This book features a practical, case study approach and includes numerous exercises and examples. It is designed as a core text for instructors who want to...
  • №347
  • 2,51 МБ
  • добавлен
  • изменен
7th ed. — Pearson, 2016. — 520 p. — ISBN 1292103035. Denzil Watson and Antony Head are Principal Lecturers in Sheffield Business School at Sheffield Hallam University. They have extensive experience of teaching corporate finance, managerial finance and strategic financial management in a wide range of courses at undergraduate, postgraduate and professional level.
  • №348
  • 9,60 МБ
  • добавлен
  • изменен
Wiley, 2005. — 864 p. — 2nd ed. — ISBN: 0471678147, 9780471678144 Handbook of Cost Management, Second Edition covers all of the essential topics in cost management and accounting. It includes conventional topics, such as job costing and cost allocation, as well as such current topics as balanced scorecard, economic value added, logistics and marketing cost, theory of...
  • №349
  • 9,51 МБ
  • добавлен
  • изменен
6th Ed. — John Wiley & Sons, 2012. — 928 p. Principles of Engineering Economic Analysis, 6th edition teaches engineers to properly and methodically evaluate their work on an economic basis, and to convey it effectively to those who have the power to say "yea" or "nay." The 6th edition is updated and expanded to be comprehensive and flexible - it includes all standard topics plus...
  • №350
  • 15,94 МБ
  • добавлен
  • изменен
Cambridge University Press, 2011. — 498 p. The globalization of capital markets since the 1980s has been accompanied by a vigorous debate over the convergence of corporate governance standards around the world towards the shareholder model. But even before the financial and economic crisis of 2008/2009, the dominance of the shareholder model was challenged with regard to...
  • №351
  • 2,77 МБ
  • добавлен
  • изменен
2nd edition. — John Wiley & Sons Ltd, 2007. — 724 р. — ISBN 978-0-470-31958-1. In this book I present classical quantitative finance. The book is suitable for students on advanced undergraduate finance and derivatives courses, MBA courses, and graduate courses that are mainly taught, as opposed to ones that are based on research. The text is quite self-contained, with, I hope,...
  • №352
  • 6,13 МБ
  • добавлен
  • изменен
Routledge, 2017. — 310 p. — (Routledge Companions). — ISBN 978-1-138860-12-4. To date, there has been little consideration of the many different ways in which accounting and risk intersect, despite organisations being more determined than ever to build resilience against potential risks. This comprehensive volume overcomes this gap by providing an overview of the field, drawing...
  • №353
  • 2,45 МБ
  • добавлен
  • изменен
2nd ed. — Academic Press, 2013. — 560 p. — ISBN: 0123910587, 9780123910585. The second edition of this best-selling introduction for practitioners uses new material and updates to describe the changing environment for project finance. Integrating recent developments in credit markets with revised insights into making project finance deals, the second edition offers a balanced...
  • №354
  • 2,35 МБ
  • добавлен
  • изменен
Academic Press, 2002. – 375 p. – ISBN: 0127708510, 9780127708515 This introduction for practitioners offers a balanced view of project financing, integrating legal, contractual, scheduling, and other areas that participate in large multiparty projects, large single-asset purchases, and broad-based financing programs for fleets of assets. It mixes theories and case studies but...
  • №355
  • 41,17 МБ
  • добавлен
  • изменен
2nd Edition. — Butterworth-Heinemann, 2018. — 517 p. — ISBN: 978-0-08-100766-2. This book, Second Edition explains how public private partnerships are prepared, procured, financed, and managed from both the public- and private-sector perspectives. As the use of public private partnerships continues to develop world-wide, both in the area of public policy and private financing and...
  • №356
  • 5,21 МБ
  • добавлен
  • изменен
4th ed. — Wiley, 2018. — 368 p. — ISBN 1119494575. Corporate Financial Reporting and Analysis: A Global Perspective by S. David Young, Jacob Cohen, Daniel A. Bens Corporate Financial Reporting Analysis combines comprehensive coverage and a rigorous approach to modern financial reporting with a readable and accessible style. Merging traditional principles of corporate finance and...
  • №357
  • 6,45 МБ
  • добавлен
  • изменен
Routledge, 2018. — 297 p. — (Routledge Companions). — ISBN 978-1-138678-53-8. There is increasing interest in accounting issues in China. Despite a relatively short history, China's stock market is the world's second largest. This growth has been accompanied by increasing demand for accounting information alongside reforms of accounting and auditing rules, as international...
  • №358
  • 2,50 МБ
  • добавлен
  • изменен
Яросл. гос. ун-т .— Ярославль : ЯрГУ, 2009 - 92 c. Учебное пособие рекомендуется к использованию на лекционных и практических занятиях по дисциплине «Финансовый менеджмент», «Логистика». Студентам предлагается решить задачи по комплексу тем, разобрать деловую ситуацию. Для закрепления теоретической части дисциплинывопросы к семинарам. Методические материалы предназначены для...
  • №359
  • 873,48 КБ
  • добавлен
  • изменен
Учебное пособие для направления «Менеджмент», профиль подготовки «Менеджмент организации». — Махачкала: ДГИНХ, 2011. — 93 с. В ходе рыночных преобразований в Российской Федерации большинство крупных и средних предприятий вследствие неэффективной структуры капитала и механизма управления оказались не конкурентоспособными. Конкурентоспособность фирмы (особенно крупной) может...
  • №360
  • 1,18 МБ
  • добавлен
  • изменен
Иркутск: Изд-во БГУЭП, 2015. – 138 с. ISBN 978-5-7253-2843-1. Исследуются теоретические вопросы обеспечения ликвидности компаний жилищно-коммунального хозяйства. Рассматриваются практические вопросы управления кредиторской задолженностью с учетом особенностей ЖКХ. Для магистрантов экономических вузов, аспирантов, а также специалистов предприятий ЖКХ. Содержание. Введение....
  • №361
  • 869,17 КБ
  • добавлен
  • изменен
Монография. — Томск: Томский государственный университет, 2010. — 196 с. В монографии исследованы основные направления развития финансового менеджмента на основе использования системно-функционального подхода к изучению социально-экономических процессов. Функциональный финансовый менеджмент — эффективный метод реализации на практике социально-экономической политики государства,...
  • №362
  • 5,02 МБ
  • добавлен
  • изменен